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FEDERAL DEPOSITS, RESERVES AND BORROWINGS OF MEMBER BANKS, GROSS TOTAL ALL MEMBER BANKS RESERVE DEPOSITS INTER BANK 220,076 GOVT 2,271 184,838 FOR THE WEEKLY PERIOD ENDED DEMAND S A V I N G S BALANCES DUE FROM D E P O S I T S DOM. BKS DEMAND DEPOSITS (1) DEPOSITS 160,291 226,575 99,685 WHH F.R. 18,361 2/19/75 CURRENCY BORR. R V E S AND COIN REQUIRED 12) TOTAL 121 EXCESS 34,960 158 1,285 10 6,814 F. R. DISTRICT ALL BANKS 93 7,351 6,543 6,930 3,743 411 958 863 842 854 ,640 112 192 192 198 32,343 12,363 7,373 12,717 11,547 14,949 28,577 10,654 6,512 10,944 10,170 13,138 43,105 10,768 9,704 14,162 9,779 16,011 6,306 10,361 5,854 10,629 7,348 6,651 7,035 786 5 54 944 6,899 1,344 1,006 1,664 1,294 1,828 8,952 19,390 7,637 5,142 10,486 13,903 31,020 ,525 54 270 77 54 123 139 7,373 17,779 6,533 4,550 9,058 12,073 28,828 6,816 14,527 6,051 4,026 8,032 10,685 23,616 14,476 23,163 7,289 6,987 9,909 13,942 40,351 2,123 15,218 2,995 2,691 3,747 3,128 18,892 174 2,032 574 399 976 1,382 1,087 1,772 2,264 139 843 1,933 3,087 1,045 631 1,150 1,682 4,992 254 327 995 1,380 1,979 5,998 3,176 50,997 3,760 4,362 11,542 25,839 9,120 555 ,050 761 449 2,592 32,719 2,959 3,854 9,725 2,334 28,854 2,643 3,396 8,163 19,323 6,619 3,429 43,514 4,122 3,274 16,749 35,761 9,000 585 6,702 1,246 2,105 4,123 15,555 2,714 94 7,088 177 177 770 474 6,938 71 576 2,092 4,389 1,367 222 788 158 539 7,514 642 676 2,332 5,194 1,521 8,481 NEW YORK: CITY OTHER PHILADELPHIA CLEVELAND RICHMOND CHICAGO: CITY OTHER S T . LOUIS MINNEAPOLIS KANSAS C I T Y DALLAS SAN F R A N C I S C O 50,564 13,020 8,349 13,752 12,594 16,787 ,037 *027 538 ,304 ,691 ,646 1,299 337 744 439 6 54 594 7,442 2,066 1,429 2,310 1,853 2,380 7 2 3 11 2 F . R. DISTRICT RESERVE C I T V I 3 ) BOSTON NEW YORK PHILADELPHIA RICHMOND CHICAGO SAN F R A N C I S C O ALL OTHER 111) (2) (3) 59 I?13 1, 4 0 3 *10 7,607 140 -18 -17 4 DEMAND D E P O S I T S S U B J E C T TO R E S E R V E R E Q U I R E M E N T S , 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 P E R I O D TWO WEEKS P R E V I O U S TO THE R E P O R T D A T E . BANKS WITH WEEKLY AVERAGE NET DEMAND D E P O S I T S GREATER THAN $ 4 0 0 M I L L I O N AS OF THE WEEK ENDING THE REPORT D A T E . NOTE: COMPONENTS MAY NOT ADD TO TOTALS DUE TO R O U N D I N G .