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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 .