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D E P O S I T S , RESERVES AND BORROWINGS OF MEMBER BANKS, FOR THE WEEKLY P E R I 0 0 EN0|O. .
(AVERAGES OF DAILY F I G U R E S — I N MILLIONS OF DOLLARS)

GROSS

DEMAND

8/

,

4/76
*

DEPOSITS
TOTAL(2

ALL MEMBER BAWCS
F.

R.

2,849

18,355

195,628

26,351

DISTRICT

17,715

OTHER

10,920
1,599

14,020

1,730

8,905

1,778

1,500
18,535

1,825
7,874
7,217

8,091

1,163
1,573

15,751

34,969

BESEftVI U T Y t a i
2,840

3,706
RICHMOND
CHICAGO

2,234

11,186

2,556
9,594

21,820

34,069
3,604
14,857
30,310
9,146

1,612
5,887

1,921

111 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.
1 2 ) BASED ON CLOSE OF BUSINESS FIGURES FOR RESERVE PERIOD TWO WEEKS PREVIOUS TO THE REPORT DATE.
1 3 ) BANKS WITfl WEEKLY AVERAGE NET DEMAND DEPOSITS GREATER THAN * 4 0 0 MILLION AS OF THE WEEK ENDING THE REPORT DATE.
( 4 ) ADJUSTED TO INCLUDE RESERVES IN WHICH PENALTIES WERE WAIVED IN ACCORDANCE WITH BOARD POLICY EFFECTIVE NOVEMBER 19, 1975.
NOTE I
COMPONENTS MAY NOT ADD TO TOTALS DUE TO ROUNDING.