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FEDERAL RESERVE

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DEPOSITS, RESERVES AND BORROWINGS OF MEMBER BANKS,

statistical release

FOR THE WEEKLY PERIOD ENDED

6/27/79 4
3
2
1
JULY

(AVERAGES OF DAILY FIGURES— IN MILLIONS OF DOLLARS)

GROSS

ALL MEMBER BANKS

DEMAND

DEPOSITS

NET
DEMAND
DEMAND
TIME
SAVINGS BALANCES
DUE FROM
DEPOSITS
OTHER
(1)
DEPOSITS DEPOSITS DOM. BKS

TOTAL

INTER
BANK

GOVT

272,980

45,693

1,626

225,532

182,353

279,269

147,988

28,336

29,942

8,721

1 ,455

60

7,205

5,924

7,085

5,466

436

18, 1979

R V E S
R E S
WITH CURRENCY
AND COIN REQUIRED
F.R.
BANKS T O T A L (2
(2)

EXCESS
(4)

BOPR.
AT
F.R.
BANKS

10,110

40,030

150

1,586

786

414

1,202

-1

41

F. R. DISTRICT
ALL BANKS
BOSTON
NEW YORK:
CITY
OTHER
PHILADEL PHIA
CLEVELAND
R ICHMOND
ATLANTA
CHICAGO:
CITY
OTHER
ST. LOUIS
MINNEAPOLIS
KANSAS CITY
DALLAS
SAN FRANCISCO

63,060
12,159
9,154
16,717
15,904
21,521

25,643
679
1,221
929
786
1,899

217
84
48
125
106
134

37,196
11,373
7,884
15,655
14,969
19,458

27,652
9,545
7,029
12,175
12,582
16,415

32,029
14,000
11,952
20,055
14,980
20,614

11,165
10,938
7,973
14,753
11,275
10,511

13,285
979
563
1 ,303
738
1 ,339

5,296
1,272
1,039
1,803
1,554
2,224

1 ,034
777
561
898
855
918

6,301
2,059
1,592
2,725
2,461
3, 152

33
13
9
-15
-8
19

59
15
138
54
174
106

10,675
22,217
8,,764
6,862
13,927
19,524
43,775

2,627
1,549
1,099
688
1,724
2,315
3,079

52
153
42
37
202
119
247

7,996
20,512
7,623
6,136
11,995
17,088
40,442

5,839
17,055
6,661
5,121
10,004
14,751
31,599

13,920
31,592
10,942
10,899
15,856
24,350
50,995

2,486
21,506
4,476
4,757
6,258
5,387
31,036

1 ,480
1,825
634
528
1 ,305
1,693
2,228

1,423
2,463
906
838
1,547
2,508
6,284

192
1,265
361
222
382
519
1,710

1,600
3,729
1,265
1,064
1,917
3,011
7, 954

15
3
3
-3
17
18
46

105
143
105
79
152
265
150

F. R. DISTRICT
RFSERVE C ITY(3)
BOSTON
NEW YORK
PHILADELPHIA
RICHMOND
CHICAGO
SAN FRANCISCO
ALL OTHER

3,376
63,415
4,699
6,958
15,100
37,351
13,849

931
25,533
1, 138
429
3,103
2,909
2,257

26
222
24
49
80
212
129

2,418
37,644
3,536
6,476
11,917
34,226
11,464

1,905
28,057
3,225
5,247
8,735
26,394
8,797

2,111
32,454
4,5 75
5,832
18,585
44,411
14,809

1,102
11,815
1,911
4,037
5,962
26,436
4,073

157
13,300
223
201
1,915
1,899
839

283
5,321
520
759
1,881
5,573
1,908

120
1,091
221
317
426
1,396
270

400
6,389
734
1,093
2, 299
6,927
2,200

3
39
8
-14
8
45
-22

(1) DEMAND DEPOSITS SUBJECT TO RESERVE REQUIREMENTS, I.E., GROSS DEMAND DEPOSITS MINUS CASH ITEMS IN PROCESS OF COLLECTION AND
DEMAND BALANCES OUE FROM DOMESTIC BANKS.
(2) BASED ON CLOSE OF BUSINESS FIGURES FOR RESERVE PERIOD TWO WEEKS PREVIOUS TO THE REPORT DATE.
(3) BANKS WITH WEEKLY AVERAGE NET DEMAND DEPOSITS GREATER THAN $400 MILI^ON AS OF THE WEEK ENOING 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 ADD TO TOTALS DUE TO ROUNDING.



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