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FEDERAL RESERVE P? <-,<n H .7 & 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. __I 59 14 71 106 126 144