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FEDERAL RESERVE —1 Statistical release ITS. RESERVES AND BORROWINGS OF MEMBER BANKS. FOR THE WEEKLY PERIOD ENDED 3/13/7* (AVERAGES OF DAILY F I G U R E S — I N MILLIONS OF DOLLARS) GROSS ALL MEMBER BANKS OEMAND TOTAL GOVT OTHER DEMAND DEPOSITS (1) 215.684 30.963 3.085 181.637 159,827 1.154 165 7.585 48.128 12.681 8.347 13.126 12.674 17,045 16.561 380 811 704 814 1.637 211 246 263 264 246 31.356 12.055 7.430 12.159 11.596 15.161 8.383 19.357 7.538 5.387 10.569 13.773 29.772 1.524 1.224 1.019 525 1.296 1.683 1.630 52 386 145 258 222 184 336 6.808 17.747 6,373 4.603 9.051 11.906 27,806 4.593 48.565 4.112 4.255 10,721 24.633 7,979 996 16.617 765 378 1.656 1.507 1.162 56 215 31 64 84 264 126 3,541 31,733 3,316 3.813 8,982 22,862 6.691 F. 9. DISTRICT ALL BANKS BOST6>' NEW YORK: PHILADELPHIA CLEVELAND RICHMOND CHICAGO! CITY OTHFQ ST. LOUIS MINNEAPOLIS KANSAS CITY DALLAS SAN FRANCISCO DEPOSITS INTER BANK DEMAND BALANCES DUE FROM DEPOSITS DEPOSITS DOM. BKS TIME SAVINGS April 4, 1974 WITH CURRENCY F.R. AND COIN REQUIRED (?) TOTAL(2) BANKS 192,851 95,119 7,047 5,908 3,55A 371 968 342 1,322 27.075 10.772 6.756 10,882 10,249 13.419 31,464 10,629 8,761 12,590 9,155 14,366 6.358 10.118 5.609 10.058 6.834 6.258 6,807 674 574 773 702 1.289 6,260 1,399 1.026 1.666 1.374 1.903 ' 549 780 453 653 569 599 6.768 2.162 1.485 2.331 1.932 2,484 6.066 15,147 5,968 4,294 8,220 10,722 23.210 11,399 21,586 6,358 6,489 8,859 12,162 33,126 2,094 14,564 2.800 2.341 3,419 2,947 18.166 676 1.896 576 387 954 1.278 883 1.533 2.404 852 665 1.163 1.655 4.958 136 865 240 131 257 334 945 1,677 3.301 1.073 801 1.420 1.972 5,904 3.314 27,368 3,042 3.298 7,401 18,894 5,853 3,389 31,892 3,735 2,996 13,497 28,910 6,690 760 6.766 1.326 1.896 3.965 14,986 2,485 169 6,852 227 154 1,267 604 306 569 6,286 518 526 1.860 4.353 1.160 106 599 173 163 229 734 157 688 6,844 698 684 2,084 5,091 1,339 17,842 27,826 6.855 34.632 EXCESS 4/116 79 42 17 -5 -13 11 18 11 63 75 145 83 72 -32 19 66 35 51 _1 26 27 243 F. R. DISTRICT II P NEW YORK PHILADELPHIA RICHMOND CHICAGO SAN FRANCISCO ALL OTHER -13 41 -22 65 11 10 35 55 240 105 » (1) DEMAND DEPOSITS SUBJECT TO RESERVE REQUIREMENTS. I.E.. GROSS DEMAND DEPOSITS MINUS CASH ITEMS IN PROCESS Op COLLECTION AND DEMAND BALANCES DUE FROM DOMESTIC BANKS* (2) BASED ON CLOSt OF BUSINESS FIGURES FOR RESERVE PERIOn TWO WEEKS PREVIOUS TO THE REPORT DATE. (3) BANKS WITH WEEKLY AVERAGE NET DEMAND DEPOSITS GREATER THAN $400 MILLION AS OF THE WEEK ENDING THE REPORT D*TE. (4) ADJUSTED TO INCLUDE $67 MILLION OF CERTAIN RESERVE DEFICIENCIES ON WHICH PENALTIES CAN BE WAIVED FOo A TRANSITION PERIOD IN CONNECTION WITH BANK ADAPTATION TO REGULATION J AS AMENDED EFFECTIVE NOVEMBER 9.1975. NOTE* C O M P O N E N T S MAY NOT http://fraser.stlouisfed.org/• Federal Reserve Bank of St. Louis I AOD TO TOTA»S DUE TO R O U N D I N G . • ' « r—* , . • -