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F E D E R A L / R E S E R V E statistical D E P O S I T S , RjE SERVES AND BORROWINGS OF MEMBER BANKS, (AVERAGES OF D A I L Y GROSS ALL MEMBER BANKS 230,236 DEMAND DEPOSITS INTER BANK GOVT 33,794 3,269 FOR THE WEEKLY PERIOD ENDED FIGURES—IN MILLIONS 168,182 219,102 110,646 7/ OF D O L L A R S ) NET DEMAND TIME BALANCES DEPOSITS DUE FROM ( 1 ) OTHER DEPOSITS DEPOSITS DOM. b K S 193,173 release 9/75 JULY R E S F R V F & CURRENCY AND C O I N REQUIRED BANKS TOTAL(21 27,294 7,318 370 30, 1975 EXCESS 133 F . R. DISTRICT ALL BANKS NEW YORK: CITY OTHER PHILADELPHIA CLEVELAND RICHMOND ATLANTA CHICAGO: CITY OTHER S T . LOUIS MINNEAPOLIS KANSAS C I T Y DALLAS SAN FRANCISCO F. R. BOSTON NEW YORK PHILADELPHIA RICHMOND CHICAGO SAN FRANCISCO A L L OTHER (1) 1,144 158 7,945 7,096 5,849 4,259 885 17,480 405 853 1,801 329 240 32,094 12,838 7,534 13,418 12 , 4 C 0 15,306 29,417 11,341 6,720 11,545 10,867 13,439 39,460 10,423 9,799 13,825 9,641 15,627 7,207 11,234 6,338 11,521 8,120 7,379 6,300 1,382 966 1,612 1,327 1,791 6,829 2,136 1,433 2,298 1,915 2,390 9,339 20,444 8,101 5,484 11,161 14,809 34,230 1,724 1,409 1,182 623 1,460 1,860 2,154 119 360 116 7,496 18,676 6,803 4,778 9,520 12,746 31,619 6,932 15,442 6,254 4,178 8,358 11,336 25,258 13,579 23,041 7,455 7,185 9,885 13,706 39,627 2,390 17,075 3,341 3,100 4,234 3,475 21,172 452 2,174 677 450 1,083 1,505 1,652 1,612 2,318 811 622 1,133 1,635 4,900 1,768 3,185 1,062 787 1,378 1,964 6,088 4,771 50,315 3,694 4,583 13,113 28,291 9,029 962 17,554 3,730 32,349 2,918 4,054 10,892 25,926 7,624 3,362 29,651 2,684 3,548 9,297 20,462 6,602 3,256 39,769 4,154 3,266 16,562 36,088 8,394 986 7,622 1,348 2,356 5,087 17,446 2,740 226 520 6,329 448 360 1,165 -22 DISTRICT RESERVE O T Y 1 3 1 (2) 9,247 49,979 13,586 8,490 14,436 13,583 17,347 428 2,048 2,003 1,352 100 173 362 153 193 160 1,153 1,183 425 2,065 4,285 1,244 111 167 178 244 635 6,894 621 20 2,329 5,237 1,402 DEMAND D E P O S I T S SUBJECT TO RESERVE REQUIREMENTS, I . E . , GROSS DEMAND D E P O S I T S MINUS CASH ITEMS I N PROCESS OF C O L L E C T I O N AND DEMAND BALANCES DUE FROM DOMESTIC B A N K S . BASED ON CLOSE OF B U S I N E S S F I G U R E S FOR RESERVE PERIOD TWO WEEKS PREVIOUS TO THE REPORT D A T E . DEMAND DEPOSITS GREATER THAN & 4 0 0 M I L L I O N AS OF THE WEEK ENDING THE REPORT D A T E . Digitized1 3for FRASER ) BANKS W I T y WEEKLY AVERAGE NET http://fraser.stlouisfed.org/ NOTE: COMPONENTS MAY NOT ADD Federal Reserve Bank of St. Louis TO TOTALS DUE TO R O U N D I N G .