The full text on this page is automatically extracted from the file linked above and may contain errors and inconsistencies.
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. o 9 1 22 1 5 8 4 12 17 18