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FEDERAL RESERVE statistical release

EE
•?®sm

H6 (508)
Table 1

For Release at 4:15 p.m. Eastern Time

MONEY STOCK MEASURES AND LIQUID ASSETS

SEPT.

Billions of dollars

M1

sum of
currency,
travelers
checks,
demand
deposits and
other
checkable
deposits 1

Date

1982—JULY
AUG.
SEPT.
OCT.
NO?.
DEC.
89 8 3 — J A N .
FEB.
BAR.
APR.

HAY
JUNE

JULY

I

M2
1
M3
1
L
Seasonal! adjusted
M1 plus
overnight RPs
and Eurodollars, M2 plus large
time deposits,
MMMF
term RPs and
balances (gen.
M3 plus other
Institution-only liquid assets4
pur. and
MMMF
broker/dealer),
balances3
MMDAs,
and savings
and small time
deposits*

M1

sum of
currency,
travelers
checks,
demand
deposits and
other
checkable
deposits 1

2, ]983

1

M2.
1
M3«.
I
L
Not seasonally adjusted
M1 plus
overnight RPs
and Eurodollars, M2 plus large
time deposits,
MMMF
balances (gen. term RPs and
M3 plus other
Institution-only
pur. and
liquid assets4
MMMF
broker/dealer),
balances3
MMDAs,
and savings
and small time
deposits 2

454.4
458.3
463.2
468.7
474.0
478.2

1880.9
1903.6
1917.0
1924.7
1945.0
1959.5

2283.4
2317.9
2333.9
2352.0
2370.2
2377.6

2798.2
2823.6
2840.5
2866.0
2882.4
2896.8

454.3
454.3
461.0
470.6
479,0
491.0

1883.0
1896.5
1908.7
1928.6
1943.6
1964.5

2280.8
2308.8
2324.4
2350.4
2369.2
2385.3

2790.0
2811.8
2825.5
2860.9
2881.3
2904.7

482. 1
491.1
497.6
496.5
507.4
511.7
515.5

2010.0
2050.8
2069.9
2074.8
2096.2
2114.3
2125.4

2403.3
2430.6
2447.1
2454.0
2476.5
2499.2
2509.6

2930.7
2960.5
2988.3

489.7
480.6
489.2
504.5
499.8
508.3
514.7

2018.3
2042.5
2065.9
2088.4
2092.7
2114.0
2126.9

2415.1
2427.0
2445.9
2465.5
2471.7
2495.8
2507.5

2945.6
2964.9
2993.0

13-week
average

Not seasonally adjusted
4-week
average

M1
For period ended
1983-J0LY

AOG.

BOTE:

13-week
average

Seasonally adjusted
4-week
average

week average

506.1
507.5
509.2
510.8

511.3
512.2
513.3
515.5

514.3
514.7
516.0
517.0

505.0
505.8
506.3
507.1

510.3
512.1
513.9
515.6

523.9
520.4
513.6
504.5

3
10
17 P
24 P

512.2
513.0
513.5
514.1

516.3
517.0
517.1
516.7

517.5
517.3
516.7
515.3

508.2
509.3
510.3
511.2

512.8
512.1
512.6
513.0

512.7
517.6
515.4
506.4

S P E C I A L C A U T I O N SHOULD B E T A K E * I S I N T E R P R E T I N G
H I G H L Y V O L A T I L E AND S U B J E C T TO R E V I S I O N .
P—INDICATES PRELIMINARY DATA.
F O O T N O T E S A P P E A R ON T H E F O L L O W I N G PAGE




week average

6
13
20
27

W E E K - T O - W E B I CHANGES

I I

HONEY

SUPPLY

DATA,

WHICH

ABB

H.6(508)
Table 2

MONEY STOCK MEASURES AND LIQUID ASSETS

Percent change at seasonally adjusted annual rate#
Date

Mi

M2

M3

3 MONTHS FB08 APB.

1983 TO JOLT 1983

15.3

9.8

9. 1

6 fiONTHS FfiOa JAM.

1983 TO JOLT

1983

13.9

11.5

8.8

1982 TO JOLT 1983

13.#

13.0

9.9

12 HOMTHS PfiOM JOLT

THIBTBBN WEEKS BIDING
AOS. 2 « , 1983
FBOfl TfllBTBBN WEEKS B I D I N G :
MAI

25,

1983

( 1 3 WBBKS PBEVIOOS)

11.7

FBB-

23,

1983

( 2 6 WBBKS P1BIIOOS)

13.0

AUG-

25,

1982

( 5 2 WEEKS PB8IIOOS)

13.0

.

FOOTNOTES TO TABLE 1

liillllBBiiliP'
iplliilgilllSiMi;




H.6 (508)
Table 3

COMPONENTS OF MONEY STOCK MEASURES AND LIQUID ASSETS

Date

Currency1

Travelers
ch#ck#2

Other
Overnight Overnight
RPs5
Demand checkable
Euro4
dollars6
deposits^ depoelts
NSA

1982 -JULY
AUG.
SEPT.

NSA

Money
market
deposit
accounts/
NSA

Savings deposits®
at
commercial
banks

at
thrift
Institutions

total

Small denomination
time deposits1?
at
at
commerthrift
total
cial
Institubanks
tions

tooney market
mutual fund balanceslO
general
purpose Institution
and broker/
only
dealer

128.8
129.6
130.5

4.4
4.4
4.4

232. 1
232. 5
234.0

89. 1
91.8
94.3

33.3
34.0
34. 1

8.5
8.4
7.4

0.0
0.0
0.0

158.2
158.4
159.6

186.8
188.3
190.4

345.0
346.7
350.0

383.8
388.6
391.4

489.2
491.2
491.8

872.9
879.8
883.2

172.9
182.3
185. 1

40.4
47. 1
48.2

OCT.
NOV.
DEC.

131.3
131.9
13 2 . 8

4.4
4.4
4.2

236.0
23 7 . 6
239.8

97.0
100. 1
101.3

37.4
38.5
38.5

6.5
6.7
5.8

0.0
0.0
43.2

162.3
166.2
163.4

195.7
200.1
195.9

358.0
366.4
359.3

389.9
389.2
383.2

488. 1
485.8
475.9

878.0
874.9
859. 1

187.6
191. 1
182.2

49.3
49.9
47.6

1983 - J A N .
FEB.
MAR.

134.2
135.6
137.0

4. 1
4.3
4.5

239.4
238.7
24 0 . 1

104.5
112.5
116.0

40. 1
41.0
40.9

7.2
7.8
7.8

189.1
277.7
320.5

151.7
144.7
142.3

183.3
181.0
180.4

335. 1
325.7
322.7

356.7
337.7
326.8

440.7
417.4
407.0

797.4
755. 1
733.8

166.7
159.6
154.0

46. 1
45.2
43.5

APR.
MAY
JUNE

138.0
139.3
140.3

4.6
4.7
4.7

238.9
242.5
244.0

115.0
120.9
122.7

42.5
46.0
46.6

8. 1
9. 1
9.4

341.2
356.8
367.3

140.8
140.8
140.8

180.7
182.3
184.2

321.5
323. 1
325.0

321.5
318.8
319.5

404.2
401.4
402.6

725.7
720. 1
722. 1

146.7
141. 1
139.6

41.0
40.4
39.2

JULY

140.9

4.6

245.7

124.2

43.2

9.2

368.4

139.6

183.9

323.5

326.0

408.9

734.9

138.4

38.6

WEEK ENDING
1983
JULY

AUG.

1/
2/
3/
4/

5/

6
13
20
27

140.8
140.3
140.8
141.1

246.4
246.5
245.7
245.7

122.5
123.2
124.8
125.5

45.9
43.0
43.1
42.3

9. 1
7.8
9.3
10.2

368.2
368.8
368.6
368.0

140.6
139.9
139.4
139. 1

323.5
324.9
326.3
327.7

138. 1
138.8
138.7
138.1

38.8
38.5
38.5
38.5

3
10
17 P
24 P

141.3
141.6
141.6
141.9

245. 1
245. 1
245.6
243.3

126.4
125.9
124.9
125.4

41.0
40.5
42. 1
43.7

9.9
9.7
9.2
10.2

367.9
367.7
366.6
365.2

138.8
138.6
138.1
137.8

329.2
330.3
332.3
334.0

138.3
139.2
139.2
138.6

38.4
38.2
38.4
38.5

tiE!"«%H"r"i%"i%rato,rT0,S"MIc'E^HEiroc"u!Bi;"TI=S.CO,,"BRCI1L
ODTStmraSG 1MOONT o r D . S . D01LAB—DEK0HIRATBD TRAVELERS CHECKS OF H0HBAHK ISSOEBS.

* "

E S T I

"ATBD "

0 0

"

0 F

' » «

C

*S"

EfHE-fsEE™™™

SEASONALLY ADJUSTED SOB OF DEMAND DEPOSITS PLUS OCD AND SEASONALLY ADJUSTED DEMAND DEPOSITS. INCLUDED ARE ALL C E I L I N G FREE "SUPER MOWS." AUTHORIZED BY THE DEPOSITORY INSTITUTIONS DEREGULATION COMMITTEE TO BE OFFERED BEGINNING JANUARY 5 .
1983. PRELIMINARY DATA INDICATE THAT BALANCES I N "SUPER NOWS" MERE ABOUT $ 3 3 . 8 B I L L I O N I N THE WEEK ENDED AUGUST 10,
ABOUT $ 3 3 . 7 BILLION I N THE WEEK ENDED AUGUST 17 , AND ABOUT $ 3 3 . 4 B I L L I O N I N THE WEEK ENDED AUGUST 2 4 .
THESE FIGURES
INCLUDE BALANCES IN *SUPER HONS* AT COMMERCIAL BANKS OF ABOUT $ 2 3 . 8 BILLION I N THE WEEK ENDED AUGUST 10 AND ABOUT $ 2 3 . 8
BILLION I N THE WEEK ENDED AUGUST 17.
FIGURES FOR THE LATEST SEEK ARB NOT YET AVAILABLE BY TYPE OF INSTITUTION
cofl,,BaciAL b
" k s to otheb tha- depos"°ri[ c r o n e s
*">

6/

ISSUED BY FOREIGN (PRINCIPALLY CARIBBEAN AND LONDON)* BRANCHES OF U . S . BANKS TO U . S . RESIDENTS OTHER THAN
DEPOSITORY INSTITUTIONS AMD MONEY MARKET MUTUAL FUNDS.
7/
HONEY MARKET DEPOSIT ACCOUNTS (MMDAS) WERE AUTHORIZED BY THE DEPOSITORY INSTITUTIONS DEREGULATION COMMITTEE TO BE OFFERED
BEGINNING DECEMBER 14, 1982.
6/
SAVINGS DEPOSITS EXCLUDE MMDAS.
9/
SMALL DENOMINATION TIME DEPOSITS — INCLUDING RETAIL RPS — ARE THOSE ISSUED IN AMOUNTS OF LESS THAN $ 1 0 0 , 0 0 0 .
ALL INDIVIDUAL
RETIREMENT ACCOUNTS (IRA) AND KEOGH ACCOUNTS AT COMMERCIAL BANKS AND THRIFTS ARB SUBTRACTED FROM SMALL TIME DEPOSITS.
1 0 / NOT SEASONALLY ADJUSTED, INCLUDES BALANCES IN BOTH TAXABLE AND TAX-EXEMPT FUNDS.
ALL INDIVIDUAL RETIREMENT ACCOUNTS

AND KEOGH ACCOUNTS AT MONEY FUNDS ARB EXCLUDED.



H.6 (508)
Table 3—continued

COMPONENTS OF MONEY STOCK MEASURES AND LIQUID ASSETS
Billions of dollars, seasonally ad usted unless otherwise noted
Large denomination time deposits1
Date
at commercial
at thrift
banks?
institutions
total

1962-J0LI
AUG.
SEPT.

Term RPs3~
at thrift
institutions
NSA

at commercial
banks
NSA

total
NSA

271.7
273.6
273.6

60.4
61.3
62.5

332.1
334.9
336.1

22.7
25.4
24.6

11.8

OCT.
MOV.
DEC.

275.3
273 . 7
267.0

66.8

64.3

26.0

27.8

11.7

66.7

339.6
340.4
333.8

28.2

12.1

1983-JAN.
FEB.
HAH.

247.6
235.2
231.6

63.1
62.7
64.6

310.7
297.9
296.2

28.6

27.9

29.4

12.6
12.2

12.3

40.6
40.8
41.7

APR.
MAI
J01B

231.1
227.0
229.3

69.2
72.5
75.3

300.4
299.5
304.6

30.3
32.7
31.5

12.4
12.5
13.0

42.7
45.3
44.5

JOLT

226.1

79.8

305.9

29.6

13.2

42.8

11.6

11.8

11.6

34.5
37.0
36.4
37.7
39.4
40.3

Term 4
Eurodollars
NSA

83.7

80.9
#0.6

81. 1
79.5

80.1
81.2

83.8
86.7

Savings
bonds

Short term
Treasury
securities®

67.6
67.5
67.5

202.9
204. 1
203.6

42.0
41.3
41.4

67.6
67.8
67.9

210.3
214.5
217.6

42.8
43.1
44.9

219.3
219.3
224.5

45.3
43.2
42.0

68.1

68.5

68.8

Banker .
acceptance $6

•EBK E L D I I G S
1983-J01I

AUG.

6
13
20
27

227.3
227.4
226.2
226. 1

29.6
27.8
29.8
30.4

J
10
17 P
24 P

226.4
227.5
227.1
227.4

30.9
30.6
31.3
32.1

V
BANKING'FACILITIES

a " s "

P 0 S I T S

1 8 8

T B 0 S B

I S S 0 8 D

"

1 H 0 3

SYSTEM, AND NONET N A R K E T ^ M T 0 A L * P N N D S ^ * * * " ^ BANKS, F . B .
/

"

S

0 r

* ' 0 0 . 0 0 0 OB HOBE, EXCLUDING THOSE BOOKED I T INTERNATIONAL

BANKS, FOREIGN O F F I C I A L I N S T I T U T I O N S , THE FEDERAL HOSE LOAN BANK

TOTAL COFLHEBCIAL PAPER LESS C0ENBRCIAL PAPER HELD BY H O I E I BASKET HOTOAL FUNDS.




H.6 (508)
Table 3A

COMPONENTS OF MONEY STOCK MEASURES AND LIQUID ASSETS
Billions of dollars, not seasonally adjusted
Demand deposits
Date

Currency1

1982-J01I
AUG.
SEPT*

Travelers
checks2

at member
banks3

at domestic
nonmember
banks4

at foreignrelated
banking
offices
In the U.S.s

Other checkable deposits
at
commercial
banks7

129.8
130.1
130.2

4.9
4.9
4.7

151.0
150.1
152.5

77.4
76.2
77.0

3.7
3.7
3.9

231.7
229.6
232.9

69.3
70.7
73.4

OCT.
•OF.
DEC.

131.3
132.7
135.2

4.4
4.2
4.0

155.7
158.0
163.3

78.3
79.3

4.0
3.9
3.9

237.6
240.6
247.7

76.1
79.2

1983-JAI.
FEB.
HAB.

133.2
133.7
135.4

3.9
4. 1
4.3

161.9
153.4
155.4

76.2
76.5

3.7
3.6
3.7

1PB.
HAT
J01E

137.#
138.9
140.3

4.4
4.5
4.9

157.4

160.2

79.0
77.5
78.6

JOLI

142.0

5.2

162.6

79.1

AOG.

*
7/
8/

V
io,




S i S

1

143.3
142.3
141.6
140.7

166.3
165.1
163.0
158.6

3
10
17 P
24 P

141.6
143.5
142.7
141.8

161.2

h

e

o

1 G B

"

81.0

22.3
23.1

97.3
101.5
104.0

37.4
38.5
38.5

6.5
6.7
5.8

245.1
232.8
235.2

82.4
83.6
86.7

25.1
26.4
27.7

107.5
110.0
114.3

40.1
41.0
40.9

7.2
7.8
7.8

3.8
3.7
3.7

242.4
238.2
242.1

90.8
88.7
90.7

29.5
29.5
30.3

120.2
118.2
121.0

42.5
46.0
46.6

9.1
9.4

3.7

245.0

91.7

30.8

122.5

43.2

9.2

80.7
78.8
76.4

3.9
3.7
3.6
3.7

251.3
249.0
245.0
238.4

93.0
92.7
91.3
90.1

31.3
31.3
30.6
30.1

124.2
124.0
121.9
120.2

45.9
43.0
43.1
42.3

9.1
7.8
9.3

78.6
78.7
78.5
75.9

3.8
3.5
3.7
3.6

243. 1
243.9
244.2
237.7

91.7
93.5
92.5
91.4

31.1
31.5
30.9
30.3

124.9
123.4
121.8

80. 1

81.6

"CIBS

IRSTITOTIORS TO S E R V I C E ' T B E I B ^ O C D ^ L I A B I L I T I E S J ^
SUPBBBH0"!cC0a£TS?S "

C 0 B H E B C I A L

B

"

K S

»

88

D

"

—

"

8 S T I B 1 T B D

"CUES

F

«

»

»

'»»«<"

1 H 0 D

»

21.2

-

122.8

8.1

10.2

41.0
40.5
42. 1
43.7

9.9
9.7
9.2

10.2

CORPORATORS MID FOREIGR

OF DEHARD DEPOSITS B B t D AT COHBBBCIAL BURRS BT THRIFT

ARB AGERCIES OF FORBIGB BARKS, ARD EDGE ACT CORPORATORS; IRCIODES

IRCL0DBSBO»BM?r" T m L T S r i R & M E S ^ S O M ^ R O W ^ A C C O O M S r
x - s d ¥ S

Overnight
Eurodollars

8.5
8.4
7.4

81.0

162. 1
162.5
158.7

Overnight
RPs 9

33.3
34.0
34.1

160.1

6
13
20
27

18.5
19.1
19.9

total

87.9
89.8
93.3

•EEK ENDING:
1983-JOLf

at thrift
Institutions 8

*

"

0 T

"

, t

S i T I

»

"

G S

B

*"S.
•

CREDIT ORIOR SHARE DRAFT BALARCBS,
— 1 ™ , , R S T I T
-IDERTS

0 T I

O ,

S A

R

D

ARD
„ O , = ,

OTHER THAR DEPOSITOR

H.6 (508)
Table 3A—continued

COMPONENTS OF MONEY STOCK MEASURES AND LIQUID ASSETS
Billions of dollars, not seasonally adjusted

Savings deposits1

Money market deposit accounts
at
commercial
banks

at
thrift
institutions

6
Small denomination time deposits^

total

at
commercial
banks

at
thrift
institutions

Large denomination time deposits 3

at
thrift
institutions

total

0.0
0.0
Q.O

0.0
0.0
0.0

0.0
0.0
0.0

159.9
159.3
159.7

188.7
187.5
188.5

348.6
346.8
348.2

383.0
387.4
389.7

488.7
489.2
4 89.3

871.6
876.6
879.0

267.5
271.9
272.7

59.9
61.0
62.2

327.4
332.9
334.9

OCT.
NOV.
DEC.

0.0
0.0
2 6.5

0.0
0.0
16.8

0.0
0.0
43.2

163.0
165.0
161. 8

194.8
198.3
195.0

357.8
363.4
356.7

388.3
387. 1
380.2

487.0
484.5
473.6

875.3
871.6
853.9

275.0
274.6
270.0

64. 1
66.3
66. 5

339. 1
340.8
336.5

1983 - J A N .
FEB.
HAB.

114.2
163.3
185.8

74.9
114.5
134.6

189.1
277.7
320.5

150.3
143.5
142. 1

184. 3
181.0
18 1. 1

334.7
324.5
323.2

356.3
339.3
329.2

442.3
4 19.2
408.5

798.6
758.5
737.7

250.4
238.7
233.4

63.8
63.9
65.5

314.2
302. 6
298.9

APR.
MAY
JUNE

19 8 . 0
207.6
215.0

143.2
149.2
152.3

341.2
356.8
367.3

141.9
141.7
141.5

182.4
182.9
184.8

324.3
324.6
326.3

322.7
320.4
321.0

405. 9
402.3
402.8

728.6
722.7
723.9

229.2
225.6
226.7

68.9
72.6
74.8

298. 1
298.2
301.5

JULI

217.0

151.4

368.4

141.0

185.6

326.6

325.5

408.7

734.2

223.3

79.0

30 2 . 3

6
13
20
27

216. 1
216.8
217. 1
217.3

152.2
152.0
151.5
150.8

368.2
368.8
368.6
368.0

142. 1
141.6
140.9
140.2

323.3
324.4
325.6
326.7

223.7
223.2
222.0
223.8

3
10
17 P
24 P

217.7
217.7
217.5
217.2

150.2
150.0
149. 1
148. 1

367.9
367.7
366.6
36 5 . 2

139.9
139.7
139. 1
138.5

328.3
329.6
331.4
332.8

224.2
225.8
225.0
226.0

Date

1982 -JULY
AUG.
SEPT.

at
commercial
banks

total

at
commercial
banks 4

at
thrift
institutions

totalS

WEEK ENDING
1983
JULI

AUG.

1/
2/
3/
4/
5/

SAVINGS DEPOSITS EXCLUDE HBDAS.
SHALL DENOMINATION TIME DEPOSITS — INCLUDING RETAIL BPS — ABE THOSE ISSOED IN AMOUNTS OF LESS THAN $ 1 0 0 , 0 0 0 . ALL
INDIVIDUAL BETIBEMENT ACCOUNTS ( I B A ) AND KEOGH ACCOUNTS AT COMMERCIAL BANKS AND THRIFTS ARE SUBTRACTED FROM SMALL
TIME DEPOSITS.
LARGE DENOMINATION TIME DEPOSITS ABE THOSE ISSUED I N AMOUNTS OF $ 1 0 0 , 0 0 0 OR MORE, EXCLUDING THOSE BOOKED AT INTERNATIONAL
BANKING F A C I L I T I E S ( I B F S ) .
LABGE DENOMINATION TIME DEPOSITS AT COMMERCIAL BANKS LESS LABGE TIME HELD BY MONEY MARKET MUTUAL FUNDS AND THRIFT
INSTITUTIONS.
TOTAL LARGE DENOMINATION TIME DEPOSITS EXCEEDS SUM OF THREE PREVIOUS COLUMNS BY SUCH DEPOSITS AT CREDIT UNIONS.




H.6 (508)
Table 3A—continued

COMPONENTS OF MONEY STOCK MEASURES AND LIQUID ASSETS
Billions of dollars, not seasonally adjusted

Term RP's1
Date

at
commercial
banks

at
thrift
institutions

Term
Eurodollars 2

total

Savings
bonds

Short-term
treasury
securities 3

Bankers
acceptances

Commercial
paper -

2-JULT
AOG.
SEPT.

22.7
25.4
24.6

11.8
11.6
11.8

34.5
37.0
36.4

83.7
80.9
80.6

67.4
67.5
67.5

198.7
199.1
199.2

OCT.
NOV.
DEC.

41.3
40.9
41.8

26.0
27.8
28.2

118.0
1 14.7
112.0

11.7
11.6
12. 1

37.7
39.4
40.3

81. 1
79.5
80. 1

67.7
68.0
68.2

206.8
212.5
216.8

I-JAM.
FEB.
HAB.

43.4
43.9
45.1

27.9
28.6
29.4

111.5
108.2
109.2

12.6
12.2
12.3

40.6
40.8
41.7

81.2
83.8
86.7

68.4
68.5
68.7

221.3
225.5
231.2

45.4
43.5
41.5

APB.
HAI
JUNE

30.3
32.7
31.5

114.1
116.6
119. 1

12.4
12.5
13.0

42.7
45.3
44.5

JOLT

29.6

13.2

42.8

EIDIMG;
-JOLI

AOG.

6
13
20
27

29.6
27.8
29.8
30.4

3
10
17 P
24 P

30.9
30.6
31.3
32.1

V

"

2/

;

™

: s

3/
TUTIONS^

4/
5/

F.'LU

N*KS°BI*DIHO«BIMA*BKCT°HOTD*LBRDNDSIIII'IG

NET OF B A N K E R S ^ ^ ^ A . C E S ^ . L D ^ Y ^ . C C E P T I N O
S Y S T E M , AMD HON E I H A R K E T M U T U A L F D N D S .
TOTAL COMMERCIAL




PAPER

LESS

COMMERCIAL

PAPER

BANKS.
HELD

BT

F.R.
MONEY

0

BANKS.
MARKET

P

LESS

FOREIGN
MUTUAL

THAN

18

OFFICIAL
FUNDS.

MONTHS H E L D

BT

INSTITUTIONS,

OTHER
THE

THAU

FEDERAL

DEPOSITORY
HOME L O A N

INSTIBANK

H.6 (508)
Table 4

MEMORANDA ITEMS

Billions of dollars, not seasonally adjusted
Demand deposits at banks due to
Date

foreign
commercial
banks

foreign
official
Institutions

Time and
savings
deposits
due to foreign
commerical
banks and
foreign official
institutions

9.6
8.6
8.4

2.5
2.3
2.0

9.9
9.7

8.4
8.6

8.4

2.2
1.9
2.1

1983—JAM.
FEB.
MAR.

7.8
7.9
8. 1

APB.
MAI
JUNE
JUL1

U.S. government deposits
demand
deposits at
commercial

balances at
Federal
Reserve
Banks

note balances
at commercial
banks and thrift
institutions

IRA and Keogh Accounts

total demand
deposits and
note and
FR balances

time and savings
deposits at
commercial
banks

money
market
mutual funds

9.4

3.3
3.3
3.8

5.7
5.8
9.0

11.6
11.4
16. 1

0.9
1.0
1.1

15.2
15.6

24.5
25. 1
25.8

4. 1
4. 2
4.3

43.8
44.9
46.2

9.2
9.2
9.0

2.5
2.6
2.9

3.2
3. 1
3.2

13.8
5.3
7.9

19.5
10.9
14.0

1.1
1.1
1.1

16.6

26.6
27. 1
27.7

4.4
4.5
4.6

47.6
48.8
50. 1

2.1
2.0
1.9

8.7
8.3
8. 1

2.8
2.8
2.7

3.3
3.2
3.3

13.5
7.4
10.4

19.6
13.4
16.5

1.0
0.9
1.0

19.3
20.7

28.8
29.7
31.3

4.7
4.8
4.9

52.8
55.2
59.0

7.9
8. 1
8.2

2.0
2.0
2.0

7.9
7.7
7.7

3.9
2.5
3.4

3.8
3.6
3.4

10.3
10.0
9.8

18.0
16.0
16.6

1.1
0.9
0.8

26.2

27.3
27.9

33.6
34.9
35.6

5.2
5.2
5 . 2e

65. 1
67.4
68.7e

8.3

2.0

7.6

2.8

4.2

19. 1

26.0

0.8

28.4

36.4

5.3e

7 0 . 1e

6
13
20
27

8.8
8.5
8.1
8.0

2.0
2.1
2.1
1.9

7.6
7.6
7.6
7.6

3. 1
2.4
3.4
2.2

4.5
4.5
3.3
4.5

19.0
19.2
19.2
19.3

26.5
26. 1
25.9
26. 1

0.8
0.8
0.8
0.8

3
10
17 P
24 P

8.2
8.3
8.0
8.0

2.2
2.0
2.0
2. 1

7.5
7.5
7.6
7.7

3.1
2.2
2.4
2.4

4.0
3.8
3.3
3.6

18.2
12.7
12.0
14.4

25.3
18.7
17.8
20.4

0.8
0.8
0.8
0.8

OCT.
NOV.
DEC.

WEEK EHDIIG:

AUG.

thrift
Institutions

2.5
2.3
3.3

1982-JOLI
AUG.
SEPT.

1983
JULY

commerlcal
banks

B=ESTIMATED




16.0

17.2
17.9

22.8