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2!J2&Vi

FEDERAL

RESERVE

FEDERAL RESERVE StiMtieat Rele«e H,6

statistical

release

For ImmtdUte Releaia

TiMt'I

SfPt.

MONEY STOCK MEASURES

1 1 * 14?b

IN BILUON6 OF D O L U M
•MWMNMI

tmmmmmmmmmmimmimmmmmt

»i

! V '""17" "~~

.^SLIIJ

m

>a

*fli*ifc»l»**Si##i^i*^'p^**^™

"j

M8

"4 _ J

*3

Mi PIUiTlme
M^ RusTime
M.Pius
Myitis
M^ Plus
Deposits at Depotiti at
Currency Deposits at
M$Plus
M J P I U S ! Currency
Deposits at
Large
1
Plus
Urge
targe
Commercial Nortbtnk
Commercial
1
Piui
Nonbank
Demand
Banks
Banks |
Negotiable
Negotiable Negotiable 1 Demand
Thrift
.,
Thrill CD's*
Deposits^ Other Thin
Deposits Other Than Institutions^
LargeCD»*ff
UrgeCD1!*/ Institutions^

Date

Not leasonally Ad usttd

fteatonally Ad|uit«d
10H--M)G.

Mil.9

9fe2*6

66*.t

1046.4

ittij

598*4

956*7

965.0

2el*6
263*6
2«4.4

601*4
607*6
611.6
615*5

668*2
693.8
69t#l
t03*6

1049*9
1056.9
1062.5
1072*0

276*9
?eu?
285*1
292*3

600*3
605#?
WSU*
616*6

960*6
96f*4
972.B
985*1

262*2
263*5
266*1
28?*1
269*7
294.0
294*3
295*6

615*5
620.3
626*4
610*4
637*3
647.3
651 * t
655.2

709.3
712*4
716.1

1019*6

995*6
1007*2

ioe?*6

621.5
617*9
625*9

I01t*2

ne.e

269*3
260*4
283.3
26B.7
264*9
292*1
294.0
292*2

992*4
*>93*3
1006.6
1023*9
1029.6
1040.2
1059.0
1062*3

293*5
295*3
295*0
29 3 * 4

649*7
652*5
652*6
6 5 1 *T

733*3
735.4
734*5
732.2

295.9
296*9
292*4
269*9

652*2
654.0
650*1
648*0

295*6
294*1
r 294*9
t 29t.O

654*5
653.7
* 654.4
r 656*7

733*6
732.3
r 73**4
r 733.7

293*6
292.4
t 292*0
t 290*2

652*1
651.9
r 651*2
t 649*3

733.1
733.0
r 732*3
r 730.4

653*1

734.6

260.*
260*t

SIM.

oct»
NOV.
DEC*

im-~jAN*
EEB.
MAR.
APR.
MAV

auNF

4ULY
AUG* P

9T0A7

976.9
961 * t

9et*o

1029*7
1046*5
1057*3
1066.0

722*9

7*1.*
733*6
733*2

M3PIUS
Large
Negotiable
CD'sJi'

1097.0

1105*6
1115*3
M30.5
1139*4
U44#0

I

634.8
635.5
646*6
651*2
651.5

j

j
1
i
!
1

1045.6
1049*5
1056.2
1059*9
1W75.5

655*5
689*0
694*5
696.B
709.1
713.4
707*1
713.9
720*6
719*6
729*1
732.5
732*6

1064.4
1
i
!

ioe**s

1096.6
1109.8
1113*7
1130.5
1140.3
1143*4

WEEK ENDING*
19T5--JULY

9

ife

23
3<1
AUG*

6
13

20

27 P
SEPT*

3 P

1
!

296*3

IMHHWMHMMI

1/

293*2

734*3

657*3

[
|

733.5
735.2
731.3
729*4

'mmmmmammmm^m

INCLUDES U ) DEMAND DEPOSITS AT ALL COMMERCIAL BANKS OTHER THAN THOSE DUE TO DOMESTIC COMMERCIAL BANKS AND THE U.S.GOVERNMENT,
LESS CASH ITEMS TN TWE PROCESS D F COUJrCTtON AND F*fUPLOAT5 ( Z ) FOREIGN OEMANO BALANCES AT F . f t . B A N K S ! AND C3» CURRENCY OUTSIDE
THE TREASURY, F.R.BANKS AND VAULTS OF ALU COMMERCIAL BANKS*
2 / iHCtUDES* I N ADDITION TO CURRENCY AND DEMAND DEPOSITS* SAVINGS DEPOSITS, TIME DEPOSITS OPEN ACCOUNT, AND TIME CERTIFICATES OF
DEPOSITS OTHER THAN NEGOTIABLE TIME CERTIFICATES OF DEPOSIT 1SSUEO I N DENOMINATIONS OF S 1 0 0 , 0 0 0 OR MORE BY LARGE WEEKLY REPORTING COMMERCIAL BANKS.
V i M t i U D E S M 2 , PLUS THE AVERAGE OF THE BEGINNING AND END OF MONTH DEPOSITS OF MUTUAL SAVINGS BANK, SAVINGS AND LOAN SHARES, AND
CREOIT UNION SHARES.

4 / iNCCUDfS M l , PLUS NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUEO I N DENOMINATIONS Of * 1 0 0 , 0 0 0 OR MORE.
http://fraser.stlouisfed.org/ 5 / INCLUDES M3» PLUS NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED I M DENOMINATIONS OF » 1 0 0 , 0 0 0 OR MORE.
Federal Reserve Bank of St.
P Louis
- PfcfcltMINAItVt
R - REVISED

FEDERAL RESERVE Stttlttlctl R e U t i * H 6
Tabl* 2

MONEY STOCK MEASURES
PEA CENT CHANGE AT SEASONALLY ADJUSTED ANNUAL RATES
M,

Mi Plu$ Tim*
Deposits at'
Currency Plus
Commercial
Damand Deposits-^ Bonks Other TNri
Large Qp's^j

DATE

AUG,

FROMt

MAY

1975

13 MONTHS PREVIOUS!

FEB.

1973

it> MONTHS PREVIOUS)

AUG.

1974

(12 MONTHS PREVIOUS)

FOUR WEEKS ENDING! SEPT*
PROM POUR WEEKS ENDING*

m«

8»1

Mj Plus Deposits
at Nortbank*Thrift
fnstltutlorts^

M.

M4
M* Plus Large

J

iigotiableCD's* 7
N#go

MjPlus Large r
Negotiable CDs*2

11.2

14«t

5*t

10.3

11*3

14*1

5 .ft

10 . 4

io*7

5*4

4#&

3 , 1975

JUNE

4 9 1975 (13 WEEKS PREVIOUS)

6*6

$*9

MAR.

5* 1975 ( 2 6 WEEKS PREVIOUS)

o.i

10*9

5*3

e.e

SEPT.

M5

* t 197* (52 WEEKS PREVIOUS)

A#T

6*a

mit m*kteiinmkBW

tfBt
INCLUDES ( I I DEMAND DEPOSITS AT ALL COMMERCIAL BANKS OTHEK Wkk TTOSI
M^V^MENT,
LESS CASH HEMS IN THE PROCESS OP COLLECTION AND P . R * P L G A T $ (2» POftlllfti
l A W N e i l At F*fUBANKSl AND « * • CUAAENCV OUTSIDE
THE TEASURY, F.RTff*NKS AND VAULTS OP ALL COMMERCIAL BANKS*
fr-KPBtf-tl-OPWt^ACCOUNtrnANtt
TIME CERTIFICATES OP
2 / INCLUDES. IN ADDlJU0N_lO„CU«ReNCY-AND DEMAND DEPOSITS*-SAVlN0$-f)£fMii 141
miml
tt
i l 0 0 # 6 0 0 Oft MORE 6V LARGE WEEKLV ^PORTDEPOSITS OTHER THAN NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED fN
1NG COMMERCIAL BANKS.
3 / INClUQES M2. PLUS THC AVFRAGE OF THE BEGINNING AND END OP MONTH fciPfiSilti 31* *WfUAL lAVINSS ftANKS, SAVINGS AND LOAN SHARES* AND
CREDIT UNION SHARES*
* / INCLUDES M2t PLUS NEGOTIABLE TIME CERTIFICATES OP DEPOSIT ISSUED | N DiNOJJNATIONS W MOO* 000 Oft MORE*
5/ INCLUDES M3. PLUS NEGOTIABLE TIME CERTIFICATES OP DEPOSIT
OH MORE*
: tSJJUtB IN BiWMNATIffi*! 0^ l iidOtOoo
f
NOTE! ALL RATES OF CHANGE ARE BASfcD ON DAILY AVERAGE SAtAI ftATfMP Wmm Aftf NOT gBPWU*!
1/




FEDERAL RESERVE Statistical Release H.6

Table 3

COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS
SEASONALLY ADJUSTED, IN BILLIONS OF DOLLARS
mmmmmmmm—^^mmm^^^^^m^mm^m^

\
Date

1974—AUG*
SEPT.
OCT*
NOV*

Currency

,

1

'

CDV '

j

Other

Total

b3.8
64*6
86*2
85.5
90.3

1

WU"v

4C5.2
4U7#3

65*5
6*.9
66.5
67*4
67.9

213.0
214.8
215.2
216.2
216.5

68*2
68.8
69.5
69,6
70.3
71.2
7h5
72.0

214.0
214.7
216.6
217.5
219.4
222*0
223.0
223.6

92.?
^2.1
89*6
88*4
85.5
P4.1
82*1
78*0

333*3
336*8
340. 3
343*3
347.6
353.3
351*2
359.6

9
16
23
30

71.6
7U4
71.5
71.S

222*0
223.9
223.*
221.8

83*6
82.9
BL6
80.5

356.1
357.2
357.9
3*8.3

4 39.7
440.1
439.5
43P.0

6
13
20
27 P

71.0
72.0
71.9
7?.l

223.7
222,1
223.0
224,9

79.4
78*7
77.9
?7.0

358.6
359.*
350.5
359.7

438.0
4 38.2
4 37.4
436.7

77.1

361.0

DK.
1975--JAN.
EEB.
MAR.
APR.
MAY
JUNE
JULY
AUG. P

WfcEK

Time and SiVtogi Depoiiti

Demand Deposits

!

322*1
,125.9
32fi*0
329.|

413.6
4,a.4

360*?
361.1
363. i
^65,1
368.2

4 26 . 0
428.9
430.0
4*W?
433.1
437.3
439*3
437.6

371.5
3T5.3
380.8
366.8
392.4
399.2
40* .6
410,8

M2.I

1
1
|

.
Nonbank
Thrift Institutions^

ENDING:

1975--JULY

AUG.

SEPT.

3 P

1/

r

72.1

r
r

224.2

r

r

438.0

INCLUDES NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUfcD IN DENOMINATIONS OF $100#000 OR MORE BY LARGE WEEKLY REPORTING COMMERCIAL BANKS,
2/ AVERAGE OF BEGINNING AND END OF MONTH DEPOSITS AT MUTUAL SAVINGS BANKS, SAVINGS AND LOAN SHARES, ANO CREDIT UNION SHARES.
P - PRELIMINARY!
R - REVISED




FEDtftAL REStftVf lUtlitlcftl R«I»OM H 6

Ttbl* 4

COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS
NOT SEASONALLY AOJUSTED, IN BILLIONS OF D6LLARS
1
Currency

Date

Demand D e p o . l U |
Total 1 '

Member

1974--AUG.
SEPT*
OCT*
NOV*
DEC.

65,7
65*6
66*4
67,9
6<*.0

211*6
213.1
214.7
217.3
223.3

152*3
153.3
154.4
156*0
160*4

56*1
56.6
57.1
57*7
58*9

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

67.8
67*9
68*9
69.2
70.1
|

221.5
212.6
714.4
219.5
214.8
220.8
222*0
220.0

158.9
152.4
154.0
157*6
154*)
157.9
158.5
156*6

58*7
56*6
57.1
58*6
57*8
60*0
60*$
60.3

|

222.9
724.5
220*6
238.7

I58a7
160.0
157*6
156.6

721.2
219.6
219*7
* 218.6

158.1
156.1
* 156*3
t* 1 5 5 . 9

221*1

157.3

1

71*3
72.0
72.3

Time and Saving* Deposit

Domestic
Nonmembar^fl

CD's^

Other

Total

Nonbank
Thrift
Institutions-^

U S Gov't
Demand^

87.1
88*7
88.8
87.1
90.5

321.1
3 21 #3
324*6
324*6
326.3

408.2
410.1
413.3
411.7
416.8

91*9
89*2
80.1
85.8
84.1
82.3
81.3

81.1

332.2
337.4
342.6
346.1
350.6
354*6
357.2
359.2

424*1
426*6
430*6
432*0
434.7
436*9
438*5
440*4

61.1
61.5
60.0
59*1

81*4
61.1
81.2
81.4

356*3
357.2
357.8
358*2

437*6
438.3
439.0
439.5

4.4
3.6
3.4
2.7

60.2
60.7
60*3
r 59*T

81*0

439.5
440.7
446*3
* 440.2

3.2
2*2
* 2.6
3.0

441*4

2.0

1
j

1

360.3
360.5
361.7
363*0
366*5
!
i
!

371.0
375.4
382*7
389.1
394.1
401*5
407.8
410.8

4.0
5*5
3.7
3*4
4.9
j

!

4*0
3.4
3.9
4.2
4.2
4*2
3*4
2.7

WEEK ENDINGt
1975--JULY

AUG*

SEPT,

9
16
23
30
6
13
70
21 P
3 P

!
|
|
1

73.1
72.3
71*8
71.2
7?.4
72.7
72.3
* 71.6
72.1

!
!
j

r

60.6

B1.I
SI. 1
* si.t
81*5

358.5
359.5
r 359*2
t 359.1
360*0

*WWMMMMPM*>*»J

1 / TOTAL DEPOSITS INCLUDE* IN ADDITION TO THE MEMBER AND t>0M£STtC NONMiMBER DEPOSITS SHOWN* DEPOSITS DUE TO FOREIGN AND
INTERNATIONAL INSTITUTIONS AT F.R*BANKS ANO Ml TYPE JJALANCES AT AO&feGX&S AND BRANCHES OP FOREIGN BANKS.
2 / BASED ON MOST RECENT CALL RFPOPT $ INGLE-DAY OBSERVATIONS.
3 / INCUDES NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED I N DENOMINATIONS OF JllOOtOOO OR MORE BY LARGE WEEKLY
REPORTING COMMERCIAL BANKS.
4 / AVFRAGE OF BFGINNING AND LND OF MONTH DEPOSITS AT MUTUAL SAVINGS BANKS* SAVtNGS AND LOAN SHARES. AND CREDIT UNION SHARES.
5/ U.S.GOVERNMENT DFMAND DEPOSITS AT ALL COMMERCIAL BANKS*
P - PRELIMINARY; ft - REVISED