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FEDERAL

RESERVE

statis tical

D E P O S E S . RESERVES AND BORROWINGS OF MEMBER BANKS* FOR THE

CLASS OF BANK

WEEKLY

PERIOD ENDED

3/
DEMAND

BTPOSITS

INTER
BANK

GOVT

• • •

NET
DEMAND
SAVINGS BALANCES
DEMAND
TIME
DEPOSITS
DUE FROM
OTHER
(1)
DEPOSITS DEPOSITS 50M. BKS

72 11 22

R E S E R V F S «
WITH CURRENCY
F.R. AND COIN REQUIRED EXCESS
(2f
BANKS TOTAL(2)

F.R. DISTRICT

TOTAL

ALL MEMBER BANKS

205.616

25,121

5.071

175,444

158,402

145,027

92,925

13,653

24,747

5,342

30.350

RESERVE CITY BANKS
B65T6N

123,115
3,474

21,937
669

3.223
64

97,955
2,746

89,394
2,605

82.183
1,526

42 961
516

6 431
130

16,338
450

2.256

18,673
499

27,149
23,087
870
1,027
3,516
3,200
5,918
5,250
. 4,J>J_ _ZL7.96.
4,357
3,253

NEW YORK
CITY
OTHER
PHILADELPHIA
CLEVELAND
RICHMOND
AtLANfA

41,151
1,061
4,593
7,436
$JT,098„
5,839

CHICAGO
CITY
OTHER
ST. LOUIS
MINNEAPOLIS
KANSAS CITY
DALLAS
SAN FRANCISCO

8,073
6,718
3,529
1,684
3,497
5,785
23,972

1,349
837

COUNTRY BANKS
BOSTON
NEW YORK
PHILADELPHIA
CLEVELAND
RICHMOND
ATOWRR
CHICAGO
ST. LOUIS
MINNEAPOLIS
KANSAS CITY
DALLAS
SAN FRANCISCO

82,521
5,974
12,400
5,016
5,811
5,934
Id.*04
12,346
3,797
3,135
6,279
7,815
4,910

3,184
405
354
53
51
L?O..
644
344
95
114
428
471
75

11,518
83
742
641
„„ @ 15 —
837

385
765
1,122
1,462

958
23
87
168
118

28,875
955
3,764
6,627
&l288_
4,884

265
127
97
59
86
95
884

6,459
5,754
2,523
1,240
2,646
4,568
21,626

6,439
4,633
2,633
1,161
2,537
4,245
18,564

7,634
5,253
1,837
1,104
2,083
4-023
20,108

2,302
3,638
1,037
354
839
889
15,505

147
595
145
91
185

1.848
147
261
113
182
1.25.
187
308
84
71
149
101
100

77,489
5,402
11,785
4,850
5,578
5,*5?
9,173
11.594
3.618
2,950
5,702
6,*43
4,735

69,008
4,968
10,589
4,398
4,954
.5,839
8,191
10,138
3,235
2.581
5,128
5,667
4,130

62,844
2.478
7.407
3.959
4.619
3,774
6,627
12,315
3,289
4.258
4,902
5,309
3,907

49,964
3,076
9,261
4,223
4,819
3,535
4,289
10,166
1,544
1,589
2,370
1,899
3,193

7,422
310
668
434
565
. 412.
984
1.181
443
313
746
985
321

7,013
898
1,344
4,401
.ZJ.682.
1,543

•Z61

release

3,438
44
179
296
ue„.
247

488

—

189
-*

152
9

5,863
196
693
1,170

-IB

113
199
70
21
40
63
528

1,395
973
444
210
428
779
4,423

26
-33
-8
1

1
22

2

9

3.086
243
541
218
285
25.1
342
473
115
85
159
193
181

11,*77
794
1,820
771
870
838
1,281
1,899
502
477
778
874
773

-182
-68
-53
-18
-22

267
54
76

5,377
138
554
946
651
620

55
135
208
207
104"

1,308
741
366
189
389
712
3,897
8,409
483
1.236
535
563
Ml
957
1,379
400
392
625
" 698

1
37
e
48

18
-47
13
17
-25

(1) DEMAND DEPOSITS SUBJECT TO RESERVE REQUIREMENTS. I.E., GROSS DEMAND DEPOSITS MINUS CASH IFEMS IN PROCESS OF COLLECTION AND
DEMAND BALANCES DUE FROM DOMESTIC BANKS.
(2) BEGINNING SEPTEMBER 12, 1968, BASED ON CLOSE OF BUSINESS FIGURES FOR THE RESERVE PERIOD TWO WEEKS PREVIOUS TO REPORT DATE.
(3) AS OF NOVEMBER 9, 1972, THE DEFINITION OF RESERVE CITY AND COUNTRY BANKS WAS CHANGED (SEE FEDERAL RESERVE BULLETIN, JULY 1972, p. 626). THE
CLASSIFICATIONS EMPLOYED HERE ARS THE SAME AS PRIOR TO THE CHANGE IN DEFINITION SO THESE SERIES ARE CONTINUOUS OVER TIME.
(4) ADJUSTED TO INCLUDE $450 MILLION OF CERTAIN RESERVE DEFICIENCES ON WHICH PENALTIES CAN BE WAIVED FOR A TRANSITION PERIOD IN CONNECTION WITH
BANK ADAPTATION TO REGULATION J AS AMENDED EFFECTIVE NOVBtBER 9, 1972.




AT
F.R.
BANKS

15
2

14
11
43
38
11

9