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F J.l ' E D E R A L R E S E R V E s t a t i s t i c a l r e l e a s e /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