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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