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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 .