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FEDERAL

RESERVE

FEDERAL RESERVE SUtUtlcal Relaate H.6

statistical

release

Tabl« 1

For immediate Release
0C1* 9* 1975

MONEY STOCK MEASURES
IN BILLIONS OF DOLLARS

MI

M2

|

srn

*3

s

M5

i

Mi Plus Time]
M2Plus
Currency Oeposits at Deposits
M2Plus
M3PIUS
at
Plus
_ Large
Commercial Nonbank
Large
Demand
Banks
Thrift
1 Negotiable Negotiable
Deposits^ Other Than
CD's*/
CD's#
Institutions^
Large CD's 2/;

Date

M4
«3
*2
Mt Plus Time
M2Plus
Ma Pius
Currency Deposits at Deposits at
Commercial
Large
Plus
Nonbank
Banks
Negotiable
Demand
Thrift „
CD's*/
Deposits!/ Other Than Institutions*
Large CD's^

260.7
261.6
26 3 . 6
264,4

1975—JAN*
FEB.
MAR*
APR.
MAY
JUNb
JULY
AUG.
SEPT. P

|

j

261*6
262.4
285.0
265.6
288*5
293.0
293.5
294.2
294.6

603*4
607 . 6
611*6
613*5

970.7

688*2
693*8

976.9
981*7

697*1
703.7

1049.9
1056.9
1062,4
1072*0

614*6
619.1
625*1
628.9
635*9
646*1
650.5
653.7
656.t

986.3
994.4
1005.9
1015.7
1028,3
1045*3
1055*9
1064.2
1070.8

707.6
711*2
714*8
717.3
72U5
730.1
732.6
731.7
735.3

1079*1
1086*5
1095*7
1104*1
1113.9
1129.4
1138*0
1142*2
1149.9

965*0

-

MB
M3PJUS

Large
Negotiable
CD'sii/

Not Seasonally Ad] usted

Seatonelly Adjusted
1974— SLP1.
OCT*
NOV.
DEC*

n

—RI—

1

261.i

600.3
60S.7

967.*

1

694.5

285.]
*92.3

609*7
618*6

972.6
985,0

i

696.6
709*0

1049.5
1096.2
1059.9
1075.5

288.4
279*4
262*2
267.2
283.1
291.1
293.1
290.9
292.8

620*7
616.7
624*6
633.3
634.1
645.5
650.1
650*0
652*6

991*7
992.1
1007.3
1022.4
1026.2
1047.1
1057.5
1060.2
1066*1

712.7
705.9
712.7
719*1
718*2
727.9
731.4
731*1
735.4

1083*6
1081.4
109* .4
1108*2
1112*3
11/9.4
1138*8
1141.4
1148*8

292*6
291.3
291.0
289*1

650*9
650.7
650*0
648.2

292*2
294*5
296.3
r 289.4

651*8
654.4
r 655.9
r 649*0

278*S

!

,

!
|

689.0

960.6

1
|
|
i
i
!

WfcEK ENDING:
1975—AUG.

6
13
20
i7

294.6
293*1
293.9
295.9

SEPT.

3
10
17
24 P

295.4
295.5
295.4
r 293*4

OCT*

1 P

29*.1

i

653.0
652.5
653.2
655*5
656.0
656.5
, 656.8
r 654.8

733*1
734.6
735*5
r 734*4

655.2

289.9

736*1

^ H « « « H « M M

1/

1

732*4
731*1
731*1
732*5

>

L

a

650.6

|

731.9
731*8
731*1
729*2
733*3
736*5
738*2
r 732*1
734*8

—

INCLUDES 111 DEMAND OEPOSITS AT ALL COMMERCIAL BANKS OTHER THAN THOSE OUE TO DOMESTIC COMMERCIAL BANKS ANO THE U*S*GOVERNNENT,
LESS CASH ITEMS I N THE PROCESS OP COLLECTION AND F*R .FLOAT* ( 2 ) FOREIGN DEMAND BALANCES AT F*R*BANKS| AND ( 3 1 CURRENCY OUTSIDE
THE TREASURY, F*R*BANKS AND VAULTS OF ALL COMMERCIAL BANKS.
*
2 / INCLUOESt I N ' A D D I T I O N TO CURRENCY ANO DEMAND DEPOSITS, SAVINGS OfcPOilTS, TIME DEPOSITS OP€H ACCOUNT* ANO TIME CERTIFICATES OF
DEPOSITS OTHER THAN NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED I N DENOMINATIONS OF S I 0 0 , 0 0 0 OR MORE BY LARGE WEEKLY REPORTING COMMERCIAL BANKS.
3 / INCLUDES M2, PLUS THE AVERAGE OF THE BEGINNING AND END OF MONTH DEPOSITS OF MUTUAL SAVINGS BANK* SAVINGS AND LOAN SHARES• AND
CREDIT UNION SHARES*
4 / INCLUDES M2, PLUS NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED I N DENOMINATIONS OF » 1 0 0 * 0 0 0 OR MORE.

5 / INCLUDES H 3 , PLUS NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED I N DENOMINATIONS OF $ 1 0 0 , 0 0 0 OR MORE.
http://fraser.stlouisfed.org/
P - PRELIMINARY;
R - REVISED

Federal Reserve Bank of St. Louis

PIOIRAL RESERVE Statistical R a t M i t H 6

Tab)* 2

MONEY STOCK MEASURES
PER CENT CHANGE AT SEASONALLY ADJUSTED ANNUAL RATES
» — ^ ^ — » —

IHMLJ il

fi«»—^^^^^M^M^wq

mmwjmi

*;

i

M

2

>IMj

„ .

ji
_

LI i
, i

i i
>

M4

J

Mt Plus Time 1
Deposits at
Ma Pius Deposits
Currency Plus \
Commercial
fit NonbankiThrift
Demand Deposits^ Banks Other Than
institutions1-^
Largecp^
]

DATE

|

MjPlus Large J
Negotiable CD's^

M

S

M3Pius Large
Negjtiable CD's1*

SfcPt. FROMl
JUNf

J975

(3 MONTHS PREVIOUS)

2*2

6.3

9*8

2.8

7 #3

MAR.

1973

16 MONTH* PRtVlOUSI

6.7

10*0

12.9

S.t

9*9

(12 MONTHS PREVIOUS!

9*0

e.e

1U0

6*8

9*3

SEPT. 1 9 7 *

FOUft WEEKS ENDING 1 OCT. l f
PROM POUR WfcEKS ENDINGS

1975

JULY

2t

1975(13 WEEKS PREVIOUS)

1.6

5.6

APR*

2* 1975126 WEEKS PREVIOUS)

6*3

9.6

OCT.

2» 1975(6^ WEEKS PREVIOUS)

9

8.7

**

2*4

***
6*8

1

I^MimMM

1 / INCLUDES I I I DEMAND DEPOSITS AT ALL CC MMERC1AL BANKS OTl«ER THAN THOSE DUE M\ WW WIG tMWIEft UAL BANKS AND ¥HI U.S.GOVERNMENT,
LESS CASH ITEMS IN THE PROCESS OP COLLECTION AND P*R*PLOATt <2> FORE ION D ^ AND SAL AN tEk AT P*R. BANK 51 AND <») CURRENCY OUTSIDE
THE TEASUPV* F*R*BANKS AND VAULTS OP ALL COMMERCIAL BANKS*
,
2 / INCLUDESt I N ADDITION TO CURRENCY km DEMAND DEPOSITS. SAVING* DEPOSITS* t l M I H H f c l t t OPEN ACCOUNT* AND TIME CERTIFICATES OP
DEPOSITS OTHER THAN NEGOTIABLE TIME CERTIFICATES OF OEPOSA* ISSUED I N DfcNijHiNAti&N* OF * 1 0 0 , 0 0 0 OR MORE BY LAROE WEEKLY REPORTING COMMERCIAL BANKS*
3 / INCLUDES M2t PLUS THE AVERAGE Of THE BEGINNING AND END OP MONTH DEPOSITS DP NUfUAL SAVINGS BANKS* SAVINGS AND LOAN SHARES. AND
CREDIT UNION SHARES*
A/ INCLUDES M2, PLUS NEGOTIABLE TIME CERTIFICATES OP DEPOSIT ISSUED I N OENdMl(NAttdNS W 1100*000 OR MORE*
5 / INCLUOES M3i PLUS NEGOTIABLE TIME CERTIFICATES OP DEPOSIT ISSUED I N D E H M i N i f f l f l N I OP 1100*000 OR MORE*
NOTEt ALL RATES UP CHANGE ARE BASED ON DAILY AVERAGE DATA! RATES OP CHANGfe * R | M Y COMPOUNDED.



FEDERAL RESERVE BUtUtctl Rtltase H.6

Tab!* 3

COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS
SEASONALLY ADJUSTED, IN BILLIONS OF DOLLARS
mmmmmmmmmmmmmmmm^ats^^tmmmmmmmmm

1
Currency

Date

65*9

1974—SEPt*
OCT.
MOM*
OEC*

67t4

216*5

68.2
69.7

213.*

69.4

B4*e

J

1

213.7

1

2ie*3

i

215.6
216*3

j
j

nun

i

Nonbank
.
Thrift Institutions^

Total

Other

322.7
525.9
328 . 0

412*1

413*5

361.7
363*2
365.3

3*9*1

419.3

368*2

85*5
84*1
62.1
78.0
79.1

333.2
336.7
340.1
343.1
347.4
353.1
JMiO
359*'1
361*6

426.0
428.8
429.9
431.5
432.9
437.1
439.1
437.4
440*7

371 .5
375.3
380.8
386.8
392.4

66.2
85.5
90.3

216*2

67*9

69.5
70.2

CD's^

214*8
215.2

66*5

197$—J;N*
StB.
MAR.
APR*
MAY
JUNE
JULY
AUG*
SEPT. P
t*EK

Demand Deposits

rn

Time and Sayings Depotiti

92*7
92*1
69*8

aa.4

407*5

7ia

71.4
71.9
71.9

221*9
222.1
222*3
222.7

71.8
71.9
71.8
72.0

222.8
221*2
222*1
223.9

79*4
7B.7
77.9
77.O

358.4
359.4
359.3
359 .6

437.8
438*0
437.3
436.5

223,4
223»6
r 223*4
r 221.4

77*1
76.1
78.7
7S.7

360.6
361.0
r 361.3
361.3

4.-7.7
439.1
r 440.0
441 . 0

?2U5

80.9

362.0

11
!|
|

399.2

405*4
410.5
A14.5

ENDING:

1975--AUG.

6
13
20
11

SEPT,

3
10
IT

OCT,

Lu

p

72*0
71*9
72*1
72*1

\

9

71.6

1/

\

j

442 .9

INCLUDE! NEGOTIABLE TIME CERTIFICATES OP OEPOSIT ISSUEO I N TJETOHWATTOVS OF $ 1 0 0 , 0 0 0 OR MORE BY LARGE WEEKLY REPORT
I N C COMMERCIAL ?ANKS.
cf AVERAGE Of BEGINNING AND END OP MONTH DEPOSITS AT MUTUAL SAVINGS BANKS, SAVINGS AN& LOAN SHARES, AND CREDIT UNION SHARES.
P - PRELIMINARY? ft - REVISED




FEDERAL RESERVE StttlitlCftl Relent* H 6

Table 4

COMPONENTS OF MONEY STOCK MEASURES AND REtATED ITEMS
NOT SEASONALLY ADJUSTED, IN BILLIONS OF DOLLARS
fmmmmmmtmmmKmmmmmmmmmmmmmmmmmmmmmtmmmmmmmmmmm

J
Currency

Date

Total^

act.
NOV,
DEC*

\

152*3
153*3
154*4
156*0
160.4

56.1
56.6
57.1
57.7
58*9

2it*6
213.4
218*2
J
i 213.7
j! 2 1 9 . 9
! 221*1
218.7

152*3
153.9
157.5
154*0
157*7
158.3
156.3

56.5
56*1
56.2
57*7
56*9
59.2
59*8
59*5

1

197S — J A N *

Fee,

67.8
68*0
69.1
70.0

MAR •
APR »

MAY
JUNE
JULY
AUG*

WFEK

1

71.2

|
!

71*9
72.2

!

CD's^/

Other

Total

1 Nonbank
Thrift
Institutions^

87.1
88.7
88*6
87*1
90*5

321.1
321*3
324*6
324*6
326*3

408*2
410.1
413.3
411*7
416*7

360.3
360*5
361*7
363*0
366*5

4.9

!
I

91*9
89.2
88*1
85.B
84*1
82*3
61 • 3

j1

81*1

332*1
337.3
342.4
345*9
350*4
354*4
357*6
359*1

424.0
426*5
430*5
431*6
434.5
436*7
436*3
4*0*2

371.0
375*4
382*7
389*1
394*1
401*5
407*4
410*3

4*0
3*3
3*6
4*0
4*1
4*1
3*3
Z*t

81*4

358*0

439.3

2*6

81*1
61*0

358*3
*»»4
3*9*0
3M.»d

439*3
440.$
440*1
440*1

3*0
2*2
2*4
2*9

61.5
82»1
B2.2
83*1

£&9*6
3M»9
359*7
359*7

441*1

2*7
3*2
4*3
4*6

i
|
i

j

1
1

U S Gov't
Demand-^

4.0
5.5
3.7
3*A

!

!

ENOINCJ

1 « 7 $ — JULY
AUG,

30

71.1

217.8

156*5

56.4

6

7Z»3
72*6
72*2
71*5

220*3
216.7
218.7
217.6

157*91
155*9
155*7

5 9 .b
59*9
$9 . 5
£8.$

72*0
72.7
72*1
71.6

220*3
221.P
224*2
217*9

157*3
157.5
160.1
155.3

59*8
61*2
61*1
59*5

13
nG

21
StPT.

3

10
W
24

P
P

1H*1

•

1/

Time and Saving* Deposit

Domestic]

Member

211.6
213.1
214*7
217*3
223*3

65*7
65*6
66*4
67.9
69.0

1974--AUG,
SEPT.

Demand Deposit!

TOTAL

DEPOSITS

INCLUDE,

I N ADDITION

-

-

•

-

-

-

ei.o
|

•

-

- >

M.i

1

•

•

|

I

i

442*0
441*9
442*6

•-

tO THE MEMBER AND DOMEST I C NONMEMBEtR-DEPOMYS

S W i B i i t i out jo

FDftfcl6N AND

INTERNATIONAL INSTITUTIONS AT F.R.BANKS AND HI TYPE BALANCES AT AQMiCl&S AND BRANCHES fiP FORElfiti BANKS*
2 / BASED ON MOST RECENT CALL REPORT SINGLE-DAY OBSERVATIONS*
3 / INCLUDES NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED IN DENOMINATIONS OF $100*000 OR MORE BY LARGfe WSfeKLY
REPORTING COMMERCIAL BANKS.
4 / AVERAGE OF BEGINNING AND END OF MONTH DEPOSITS AT MUTUAL SAVINGS BANKS* SAVINGS AND LOAN SHARES* ANO^CREDIT UNION SHARES*
5/ U.S.GOVERNMENT DEMAND DEPOSITS AT ALL COMMERCIAL BANKS*
Digitized
P for
- FRASER
PRELIMINARY; R - REVISED