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FEDERAL DEPOSITS, RESERVE RESERVES AND BORROWINGS OF MEMBER BANKS, FOR THE WEEKLY PERIOD ENDED JULY 9 , 1969 AUGUST 5 , 1969 180,187 22,384 22,498 3,250 112,932 3,386 15,002 89,809 4,436 10,196 4,034 6,727 4,973 4,865 5,874 7,555 5,775 3,133 4,848 19,822 COUNTRY BANKS MINNEAPOLIS SAN F R A N C I S C O 393 1,110 1, 163 1,337 3,572 4,881 10,161 3,470 1,765 5,401 3,123 3,813 1,048 1 0-005 1,190 2,057 2,542 5,955 7,347 2,087 2,895 10,139 2,352 4,478 5,1)1 3,832 (1) DEMAND D E P O S I T S (2ยป BEGINN^NGBSEP^MBERUl2ri968?MBASED TO RESERVE R E Q U I R E M E N T S , (TcLCSE 1,222 1,125 2,645 4,336 4,004 5,660 3,969 1,051 3,236 3,679 4,817 4,238 7,470 10,678 3,203 2,508 SUBJECT 1,752 36.286 1.574 67.255 5,254 10,674 3,025 5,315 I.E., 1,019 1,729 1,315 1,148 2.802 2,474 GROSS DEMAND D E P O S I T S M I N U S CASH ITEMS OF BUSINESS F I G U R E S FOR THE RESERVE IN PROCESS OF C O L L E C T I O N AND PERIOD TWC WEEKS PREVIOUS TO REPORT D A T E .