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FEDERAL RESERVE DEPOSITS, RESERVES AND BORROWINGS OF MEMBER BANKS, FOR THE WEEKLY PERIOD ENDED M.7, 3/19/75 1 AVERAGES OF DAILY FIGURES—IN MILLIONS OF DOLLARS) GROSS ALL MEMBER BANKS F . R . DISTRICT ALL BANKS NEW YORK! • CITY OTHER PHILADELPHIA CLEVELAND RICHMOND ATLANTA CHICAGO* CITY OTHER S T . LOUIS MINNEAPOLIS KANSAS CITY DALLAS SAN FRANCISCO unaclTT'3' DEMAND DEPOSITS NET DEMAND DEPOSITS TOTAL INTER BANK GOVT 218,896 31,096 3,390 126 7,426 249 125 302 270 265 31,627 12,130 7,185 12,888 11,630 15,068 7,401 17,565 6,501 4,600 9,023 12,122 29,246 3,069 32,005 2,868 3,853 10,028 24,135 8,639 8,616 1,064 *8,492 12,830 8,141 13,935 12,721 16,955 16,371 452 831 745 821 1,622 9,011 19,174 7,636 5,211 10,522 14,040 31,613 1,509 1,269 1,019 538 1,298 1,716 1,840 3,780 48,948 3,663 4,337 11,957 26,287 10,425 663 16,440 742 401 1,784 1,703 1,585 101 341 115 73 11) 184,410 DEMAND SAVINGS BALANCES DUE FROM DEPOSITS DEPOSITS DOM. BKS TIME 226,653 102,471 6,673 6,698 3,878 29,396 10,750 6,539 11,320 10,248 13,346 42,814 10,691 9,848 14,145 9,921 16,063 6,469 10,563 5,966 10,866 7,533 6,845 6,882 14,828 6,098 4,077 8,075 10,832 24,312 14,389 23,312 7,278 7,067 9,885 13,988 40,555 2,186 15,773 3,084 2,766 3,862 3,237 19,443 171 1,861 557 415 2,799 29,694 2,696 3,349 8,679 19,892 7,644 3,532 43,183 4,231 3,340 17,222 35,972 9,812 700 6,873 1,269 2,163 4,530 16,020 3,134 126 5,812 187 163 694 163,375 16,698 WITH R E S E R V E S AND COIN REQUIRED F.R. 12) BANKS TOTTAL 12 ] 20 6,627 434 918 331 1,246 5,755 721 524 861 695 1,283 6,596 1,335 985 1,667 1,314 1,799 428 621 547 592 7,217 2,022 1,401 2,279 1,849 2,361 13 30 1,753 2,308 816 629 1,145 1,675 4,943 123 820 231 136 242 318 1,007 1,913 3,108 1,032 763 1,364 1,971 5,967 -37 21 16 2 23 22 -17 78 585 7,282 621 676 2,398 5,161 1,643 1,381 1,080 34,490 EXCESS 27,883 F . R . DISTRICT NEW YORK PHILADELPHIA RICHMOND CHICAGO SAN FRANCISCO ALL OTHER 510 6,625 483 513 2,144 4,341 1,483 143 164 218 799 3 -97 -37 -21 10 111 DEMAND DEPOSITS SUBJECT TO RESERVE REQUIREMENTS, I . E . , GROSS DEMAND DEPOSITS MINUS CASH ITEMS I N PROCESS OF COLLECTION AND DEMAND BALANCES DUE FROM DOMESTIC BANKS. I ? ) BASED ON CLOSE OF BUSINESS FIGURES FOR RESERVE PERIOD TWO WEEKS PREVIOUS TO THE REPORT DATE. ) S ) BANKS WITH WEEKLY AVERAGE NET DEMAND DEPOSITS GREATER THAN $400 MILLION AS OF THE WEEK ENDING THE REPORT DATE. NOTE! COMPONENTS MAY NOT ADD TO TOTALS DUE TO ROUNDING. BANKS 167 88 3 5 2 25 1 5 1 4 10 20