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FEBRUARY (AVERAGES OF DAILY FIGURES— IN MILLIONS OF DOLLARS) GROSS ALL MEMBER BANKS DEMAND DEPOSI TS NET DEMAND OEMAND TIME SAVINGS BALANCES OUE FROM DEPOSITS OTHER (l) DEPOSITS DEPOSITS OOM. BKS 22, 1979 R E S F R V E S — F.R. AND COIN REQUIRED (2) BANKS TOTAL!21 EXCESS (4) 90RR. AT F.R. BANKS 11,001 42,267 341 1,428 834 466 1,255 46 76 W IT H... LUKKtNLY TOTAL INTER BANK GOVT 263,943 42,764 1,841 219,197 182,716 287,437 147, 190 24,948 31,465 8,821 1,647 62 7,110 6,299 6,858 5,455 426 F. R. DISTRICT ALL BANKS BOSTON NEW YORK: CITY OTHER PHILADELPHIA CLEVELAND RICHMOND ATLANTA CHICAGO: CITY OTHER ST. LOUIS MINNEAPOLIS KANSAS CITY DALLAS SAN FRANCISCO 59,162 11,941 8,926 16,596 15,561 21,071 23,573 619 1,113 843 866 1,886 187 91 53 185 174 132 35,397 11,208 7,757 15,562 14,475 19,022 28,457 9,620 6,936 12,583 12,409 16,248 43,640 13,610 11,696 19,557 14 ,489 19,790 10,549 10,618 7,982 14,707 11,201 10,544 10,890 809 538 1 ,007 705 1,378 6,179 1,307 1,024 1,837 l ,616 2, 155 1,144 846 616 985 891 985 7, 345 2,145 1,637 2,818 2,537 3,119 -18 31 6 9 16 . 52 299 95 178 45 51 102 10,639 22,015 8,698 6,606 13,389 19,178 41,342 2,532 1,474 1,087 663 1,601 2,313 2,546 55 238 57 46 157 119 286 8,052 20,299 7,553 5,892 11,623 16,746 38,502 6,265 16,999 6,707 5,060 9,871 14,518 30,743 16,340 30,569 10,583 10,241 15,120 23,450 51,492 2,477 21,526 4,534 4,795 6,383 5,495 30,925 1,518 1,837 624 496 t, 170 1 ,796 1,754 1,757 2,471 949 838 1,530 2,492 6,476 202 1,385 373 233 408 538 1,929 1,950 3,827 1,315 1,077 1,930 3,019 8,293 9 34 7 — 16 12 119 90 121 99 27 56 145 56 F. R. DISTRICT RESERVF CITY 131. BOSTON NEW YORK PHILADELPHIA RICHMOND CHICAGO SAN FRANCISCO ALL OTHER 4,203 59,496 4,632 6,451 14,742 35,088 14,933 1,228 23,495 1,037 520 2,884 2,401 2,310 28 192 22 77 94 236 85 2,946 35,791 3,573 5,849 11,763 32,448 12,538 2,628 28,778 3,236 4,866 8,910 25,717 10,112 2,544 44,038 4,628 5,190 20,472 45,093 16,037 1,192 11,170 1,923 3,784 5,655 26,204 4,492 217 10,908 220 175 2,008 1,451 687 400 6,198 532 739 2,185 5,772 2,121 130 1,205 247 315 423 1,596 305 504 7,426 776 1,055 2,604 7,262 2,444 27 -5 3 4 4 109 -17 17 299 34 l 86 14 116 (1) DEMAND DEPOSITS SUBJECT TO RESERVE REQUIREMENTS, I.E., GROSS DEMAND DEPOSITS MINUS CASH ITEMS IN PROCESS OF COLLECTION AND DEMAND BALANCES DUE FROM DOMESTIC BANKS. (2) BASED ON CLOSE OF BUSINESS FIGURES FOR RESERVE PERIOD TWO WEEKS PREVIOUS TO THE REPORT DATE. (*' BANKS WItyH WEEKLY AVERAGE NET DEMAND OEPOSITS GREATER THAN *400 MILLION AS OF THE WEEK ENDING THE REPORT DATE. (4) ADJUSTED TO INCLUDE RESERVES FOR WHICH PENALTIES WERE WAIVED IN ACCORDANCE WITH BOARD POLICY EFFECTIVE NOVEMBER 19, 1975. NOTE: COMPONENTS MAY NOT ADO TO TOTALS DUE TO ROUNDING.