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0 * GOw* •. ltfi#g-^RAL ' Ub\ RESERVE statistical A ^ H.7 RESERVES AND BORROWINGS OF MEMBER BANKS, FOR THE WEEKLY PERIOD ENDED A/ */79 (AVERAGES OF DAILY FIGURES— IN MILLIONS OF DOLLARS) APRIL 25, 1979 DEMAND DEPOSI TS TOTAL INTER BANK GOVT 276,32* *5,999 1,810 228,380 187,802 286,160 1*9,090 2*,180 30,519 9,776 8,691 1,299 65 7,326 6,201 7,180 5,*9* *26 807 GROSS ALL MEMBER BANKS release NET DEMAND DEMAND TIME SAVINGS BALANCES DUE FROM DEPOSITS (1) OTHER DEPOSITS DEPOSITS DOM. BKS EXCESS (*) BORR. AT F.R. BANKS *0,0*2 388 867 *07 1,207 8 107 R E S E R V E S WITH CURRENCY F.R. AND COIN REQUIRED BANKS TOT AL(21 (2) F. R. DISTRICT ALL BANKS — m r m --------NEW YORK: CITY OTHER PHILADELPHIA CLEVELAND RICHMOND ATLANTA CHICAGO: CITY OTHER ST. LOUIS MINNEAPOLIS KANSAS CITY DALLAS SAN FRANCISCO 6*,000 12,005 9,32* 16,867 16,1*9 22,*83 26,038 700 1,258 900 857 2,180 198 95 5* 1*8 190 1*8 37,761 11,188 8,010 15,815 15,059 20,12* 30,257 9,371 7,060 12,2*5 12,506 16,921 39,636 13,887 11,81* 19,897 1*,815 20,1*9 10,955 10,775 7,978 l*,851 11,378 10,68* 10,828 899 60* 1,191 78* 1 ,591 6,013 1,300 1,022 1,771 1,557 2,119 1,018 7*5 555 880 807 918 6,959 2,03* 1,575 2,627 2,371 3,027 76 33 * 30 37 *1 10,6*3 2 2 ,**5 8,9*2 6,716 13,935 20,113 **,011 2,32* 1,630 1,163 710 1,805 2,561 2,575 63 187 63 39 10* 117 339 8,2 57 20,623 7,715 5,960 12,019 17,*3* *1,090 7,119 16,735 6,679 *,968 10,057 1*,977 32,707 16,008 31,508 10,6** 10,**3 15,*13 2*,11* 50,652 2,5*8 21,796 *,583 *,82* 6,*02 5,567 31,25* *05 2,068 701 53* 1,360 1,860 930 1,6*2 2 ,*56 911 83* 1 ,*77 2, *99 6,112 177 1,203 3*5 200 363 *80 1 ,677 1, 80* 3,636 1,2*3 1,029 1,827 2,931 7,772 15 26 13 12 20 *9 2* F. R. DISTRICT RESERVE CITY 131 BOSTON NEW YORK PHILADELPHIA RICHMOND CHICAGO SAN FRANCISCO ALL OTHER 3,995 6*,3*5 *,835 7,112 15,2*2 37,523 15,585 8*9 25,952 1,165 *9* 2,832 2,396 2,556 32 206 2* 10* 105 293 12* 3,113 38,170 3,6*6 6,510 12,30* 3*,830 12,905 2,603 30,661 3,301 5,212 10,016 27,635 10,020 2,633 *0,076 *,620 5,883 20,739 **,099 16,063 1,211 11,595 1,930 *,076 6,033 26,527 *,720 19* 10,8*0 228 202 933 602 687 368 6,057 520 770 2,118 5,*2* 2,027 121 1,073 220 302 386 1,375 280 *88 7,057 735 1,055 2, *83 6,779 2,265 2 89 5 20 21 2* *2 ( 1) DEMAND DEPOSITS SUBJECT TO RESERVE REQUIREMENTS, I.E., GROSS DEMAND DEPOSITS MINUS CASH ITEMS IN PROCESS OF COLLECTION AND DEMAND BALANCES DUE FROM DOMESTIC BANKS. ( 2 ) BASED ON CLOSE OF BUSINESS FIGURES FOR RESERVE PERIOD TWO WEEKS PREVIOUS TO THE REPORT DATE. (3) BANKS WITH WEEKLY AVERAGE NET DEMAND DEPOSITS GREATER THAN $*00 MILLION AS OF THE WEEK ENDING THE REPORT DATE. (4) ADJUSTED TO INCLUDE RESERVES FOR WHICH PENALTIES WERE WAIVED IN ACCORDANCE WITH BOARD POLICY EFFECTIVE NOVEMBER 19, 1975. N O TE: COMPONENTS MAY NOT ADD TO TOTALS DUE TO ROUNDING. __ 82 76 6* *9 9 166 38 *9 8* 80 65 17 — - 9 7 — 32