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FEDERAL
JUN

RESERVE

s t a t i s t i c a l

r e l e a s e

!

r:3

D E P O S I T S , RESERVES AND BORROWINGS OF MEMBER BANKS, FOR THE WEEKLY PERIOD ENDED

5/28/75

I AVERAGES OF DAILY FIGURES—IN MILLIONS OF DOLLARS)

DEPOSITS

ALL MEMBER BANKS

TOTAL

INTER
BANK

GOVT

OTHER

215,032

10,384

1,991

182,657

NET
DEMAND
DEMAND
SAVINGS BALANCES
TIME
DEPOSITS
DUE FROM
11)
DEPOSITS DEPOSITS DOM. BKS
159,342

223,457

107,285

17,543

GW!TH

°F.R.

BANKS

R V E S
CURRENCY
AND COIN REQUIRED
T0TAL12I
121

27,444

6,765

EXCESS

BORR
AT
BANKS

34.045

162

84

14

F . R . DISTRICT
it 1 OAyve
NEW YORK:
CITY
OTHER
PHILADELPHIA
CLEVELAND
RICHMOND
ATLANTA
CHICAGO:
CITY
OTHER
o
S T . LOUIS
MINNEAPOLIS
KANSAS CITY
DALLAS
S£N FRANCISCO
F . R . DISTRICT
RFSERVF CiTVill
BOSTON
NEW YORK
PHILADELPHIA
RICHMOND
CHICAGO
SAN 6RANCISC0
ALL OTHER

B,666

1,074

7,506

6,699

6,381

4,099

510

945

329

1,264

10

47,520
12,591
8,031
13,#06
12,315
16,286

15,889
421
772
724
728
1,518

147
176
81
148
168
183

31,484
11,994
7,178
12,935
11,419
14,585

27,553
10,656
6,425
11,138
10,081
12,942

40,459
10,747
9,768
14,203
9,782
15,965

6,**
11,012
6,159
11,227
7,852
7,144

6,125
642

524
703
429
623
568
599

6,736
2,066
1,413
2,274
1,880
2,388

52
20

978
662
1,220

6,265
1,383
992
1,665
1,312
1,808

IB

15

8,962
19,000
7,496
5,087
10,410
14,015
SO,84*

1,?94
1,267
1,011
525
1,336
1,689
1,836

33
291
85
64
133
136
261

7,335
17,443
6,400
4,499
8,941
12,190
28,750

6,651
14,725
6,002
3,983
7,926
10,737
23,624

14,130
23,197
7,450
7,154
9,978
14,027
40,217

2,302
16,516
3,229
2,953
4,073
3,335
20,432

328
1,913
546
399
962
1,388
1,250

1,670
2,307
825
634
1,127
1,645
4,865

133
826
242
139
254
332
1,064

1,799
3,110
1,056
772
1,364
1,954
5, 969

4
23
11

3
1

2,714
47,920
3,502
4,103
11,960
25,503
9,347

514
15,95*
680
337
1,830
1,718
1,323

24
153
19
37
63
200
57

2,177
31,811
2,803
3,729
IP,067
23.585
7,967

1,999
27,845
2,556
3,253
8,666
19,170
6,727

2,389
40,844
4*148
3,279
16,896
35,634
9,322

625
7,362
1,310
2,267
4,806
16,835
2,965

108
6,149
212
161
923
955
513

351
6,291
464

64
560
152
168
224
836
159

412
6,801
611
667
2,281
5,125
1,476

2,067
4,259
1,326

15

16
24
"

4 0

3
50
-10
10
-30

9

111 DEMAND DEPOSITS SUBJECT TO RESERVf REQUIREMENTS * I . E . , GROSS DEMAND DEPOSITS MINUS CASH ITEMS IN PROCESS OF COLLECTION oAND
DEMAND BALANCES DUE FROM DOMESTIC BANKS.
( 2 1 BASED ON CLOSE OF BUSINESS FIGURES FOR RESERVE PERIOD TWO WEEKS PREVIOUS TO THE REPORT DATE.
<3> BANKS WITH WEEKLY AVERJ&E NET DEMAND DEPOSITS GREATER THAN * 4 0 0 MILLION AS OF THE WEEK ENDING THE REPORT DATE.
NOTE:

COMPONENTS MAY NOT ADO TO TOTALS DUE TO ROUNDING.




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