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F E D E R A L R E S E R V s t a t i s t i c a l E r e l e a s e \ DERUSlVsi RESERVES AND BORROWINGS OF MEMBER BANKS, FCR THE (AVERAGES OF DAILY FIGURES — I N \ CLASS OF BANK WEEKLY PERIOD ENDED MILLIONS OF DOLLARS " DEPOSITS DEMAND DEPOSITS ALL MEMBER BANKS 205,014 26,157 RESERVE CITY BANKS 3,626 SAVINGS BALANCES DUE FROM DEPOSITS DEPOSITS DOM. bKS 175,231 17.475 1.957 NEW YUKK PHILADELPHIA CLEVELAND RICHMOND ATLANTA CHICAGO CITY OTHER ST. LCUIS MINNEAPOLIS KANSAS CITY SAN FRANCISCO COUNTRY BANKS BOSTON NEW YORK PHILADELPHIA CLEVELAND RICHMOND CHICAGO ST. LOUIS MINNEAPOLIS KANSAS CITY DALLAS SAN FRANCISCO 41,510 1,059 4,499 7,267 7,796 6,604 3,530 1,663 3,467 5,720 23,564 82,956 6,073 12,337 4,994 5,819 6,014 10,023 12,249 3,646 3,146 6,385 7,118 4,952 28,790 955 3,660 6,477 5,362 -4T&W 3,401 5,671 4,825 -TTftT 6,292 5,651 2,497 1,242 2,566 4,478 21,601 6,213 4,499 2,605 1,164 2,514 4,239 18,633 78.018 5,545 11,749 4,830 69,351 5,132 10,445 4,337 4,979 5,147 1,371 961 797 1,160 1,436 "6T4 357 120 454 "IT* 157 104 DEC 06, 1972 • • B F 5 E I WITH CURRENCY F.R. AND CCIN REQUIRED I 12) BANKS TOTAL I 21 * * AND F.R. DISTRICT 72 11 15 ) - 9,214" 11,620 3,668 2,953 5,774 6,529 4,790 10,107 3,250 2,608 "5,181 5,741 4,195 1,030 3,228 5,241 7,022 898 1,341 4,395 2,683 — Y T 5 # T 2.536 19.737 498 6,071 249 •~Mms 1,294 — ""lir 7,411 5,252 1,854 1,093 2,301 3,638 1,038 356 1,476 1,063 487 3,894 19,991 669 15,536 840 4,538 2,086 49,921 62,629 2,477 " 3,072 9,226 7,416 3,947 4,218 4,616 4,595 3,532 3,771 '6T5 T6 " ~ 4 - , 2 W ' 10,164 12,304 1,543 3,285 1,583 4,243 2,366 4,687 1,697 5,278 3,195 3,846 7,516 292 690 b~ 96 1,223 465 8,033 434 1,195 516 547 ~ m 1,331 386 3.636 289 m 551 11,609 773 1,839 762 1,269 780 1,002 312 tl) DEMAND DEPOSITS SUBJECT TO RESERVE R E Q U I R E M E N T S , I.E., GROSS DEMAND DEPOSITS MINUS CASH ITEMS IN PROCESS OF COLLECTION AND DEMAND BALANCES DUE FROM DOMESTIC B A N K S . 12) 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 ARE THE SAME AS PRIOR TO THE CHANCE IN DEFINITION, SO THESE SERIES ARE CONTINUOUS OVER TIME. (4) ADJUSTED TO INCLUDE $450 MILLION OF CERTAIN RESERVE DEFICIENCIES ON WHICH PENALTIES CAN BE WAIVED FCR A TRANSITION PERIOD IN CONNECTION WITH BANK ADAPTATION TO REGULATION J AS AMENDED EFFECTIVE NOVEMBER 9, 1972.