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/DEPOSITS ^ R E S E R V E S , AND BORROWINGS OF MEMBER BANKS, FOR Tl
THE BIWEEKLY PERIOD ENDED JUNE
(AVERAGES OF DAILY FIGURES 11).

IN MILLIONS OF DOLLARS)

22. 1966
JULY

[CLASS OP; tiA'NKV
GROSS

AND V:) !y,}
I ^ W RUADIAIflCT

TCjTAL

DEMAND

INTERBANK

Air~wew&a-aAJ!jj< s

DEPOSITS <
U. S.
GOVT.
3,632

OTHER

DEMAND
DEPOSITS
(2)

TIME
DEPOSITS

DEMAND
BALANCES
DUE FROM
DOM.BKS.

WITH
F. R.
BANKS

(3)
3,828

125,884

RESERVE CITY BANKS
BOSTON
NEW YORK
CITY
OTHER
PHILADELPHIA
CLEVELAND
RICHMOND
ATLANTA
CHICAGO
ST. LOUIS
MINNEAPCLIS
KANSAS CITY
DALLAS
SAN FRANCISCO

13)
22,151

13)
374

1.542
361

2,602

2, 130

2,071

1,139

28,364
820
3,370
5,958
4,310
4,333

22,751
741
2,708
5,215
3,744
3,397

21,194
693
2,649
4,945
3,522
3,286

19,465
1,258
2,120
6,162
2,563
2,295

190
29
136
174
134
283

4,013
123
434

5,386
4, 194
1,963
946
2,097
3,004
14,550

5,480
3,791
2,179
970
2,160
2,943
12,769

5,160
4,946
1,468
813
1,497
2,630
21,054

167
180
145
41
183
344
297

1,037
684
378

53,057

47,988

54,057

4,082
8,416
3, 198
3,928
3,310
5,249
8,685
2,599
2,071
3,887
4,289
3,343

3,717
7,615
2,866
3,519
2,973
4,795
7,807
2,354
1,908
3,560
3,864
3,009

2,773
9,806
4,083
4,516
2,899
4,197
11,174
2,202
2,626
2,816
3,019
3,947

6,796
5,051
2,833
1,349
2,906

847

174
114

1,246
692
805
368

164
164

163
176
39
48
110
391

148
261

15*,735

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

CURRENCY
AND COIN
TOTAL

4,394
8,853
3,332
4,114
3,507
5,769
9,119
2,732
2,220
4,263
4,696
3,498

276
324
56

552
566

384
553
2,607

387
303
42
89
157
134
75

4,276
165
522
1,062
684
634

80
141
43
15
35

1,111
823
418
193
416
591
2,949

5,917
254
338
428
332
677
856
313
218
522
672
240

374
959
333
413
316
550
1,065
296
284
462
471
395

7,921
372
184
212
172
230
358
96
67
118
146
136

557
1,306
507
603
473
743
1,384
371
334
540
584
519

12

11) AVERAGES OF DAILY CLOSING FIGURES FOR RESERVES WITH F.R. BANKS AND BORROWINGS AND OF DAILY OPENING FIGURES FOR OTHER COLUMNS,
INASMUCH AS RESERVES REQUIRED ARE BASED ON DEPOSITS AT OPENING OF BUSINESS.
(2) 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.
(3) REVISED WEEKLY RESERVE FIGURES COMPARED WITH THOSE GIVEN IN PUBLISHED WEEKLY STATEMENTS
CURRENCY AND COIN
REQUIRED RESERVES
EXCESS RESERVES
FREE RESERVES
JUNE
15
3,812
21,865
465
-323
JUNE
22
3,843
22,437
283
JUNE
29 (PI
3,974
22,479
447 .
-324
JULY
6 (P)
3,626
22,809
371
-456
(P) PRELIMINARY