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F E D E R A L

R E S E R V E

statistical

release

I
•S3S5W
H.7

DEPOSITS, RESERVES AND BORROWINGS OF MEMBER BANKS, FOR THE WEEKLY PERIOD ENDED

3/ 2/77

(AVERAGES OF DAILY F I G U R E S — I N MILLIONS OF DOLLARS)

DEMAND

DEPOSI TS

INTER
BANK

GOVT

237,726

36,320

2,984

198,276

170,678

209,344

149,310

20,604

25,725

8,212

8,378

1,143

139

7,094

6,303

5,156

6,002

462

787

GROSS
TOTAL '
ALL MEMBER BANKS

MARCH 18, 1977

NET
DEMAND
DEMAND
TIME
SAVINGS BALANCES
DEPOSITS
DUE FROM
OTHER
Cll
DEPOSITS DEPOSITS DOM. BKS

R E S E R V E S
WITH CURRENCY
F.R. AND COIN REQUIRED
BANKS TOTAL(21
C 2)

EXCESS
<41

BORR.
AT
F.R.
BANKS

33,933

152

30

354

1,136

6

3

F. R. DISTRICT
ALL BANKS
BOSTON
NEW YORK:
CITY
OTHER
PHILADELPHIA
CLEVELAND
RICHMOND
ATLANTA
CHICAGO:
CITY
OTHER
ST. LOUIS
MINNEAPOLIS
KANSAS CITY
DALLAS
SAN FRANCISCO

53,347
11,190
8,492
14,755
13,833
18,609

18,923
474
931
830
906
1,920

294
206
137
218
300
219

34,059
10,499
7,422
13,703
12,604
16,461

29,507
9,193
6,608
11,568
10,950
14,350

32,109
9,633
9,752
14,600
10,345
15,995

11,898
11,374
8,071
13,904
10,532
9,954

8,227
665
572
983
727
1,439

5,455
1,050
900
1,521
1,283
1,773

800
708
502
775
704
727

6,362
1,760
1,383
2,279
1,999
2,480

-36
10
21
21
11
30

9,834
20,673
8,327
5,730
11,928
16,831
35,800

2,028
1,475
1,146
635
1,636
2,111
2,162

94
412
119
76
210
182
378

7,713
18,783
7,061
5,019
10,079
14,536
33,244

7,066
15,825
6,441
4,401
8,756
12,784
26,926

11,576
24,051
8,277
7,603
11,359
15,806
33,083

3,108
22,076
4,476
4,523
6,210
5,848
31,335

637
1,866
670
474
1,116
1,654
1,114

1,454
2,220
821
656
1,201
1,864
4,738

174
991
297
171
310
405
1,295

1,593
3,182
1,106
822
1,487
2,231
6,113

36
33
13
5
26
40
-63

F. R. DISTRICT
RESERVE C1TYI3I
BOSTON
NEW YORK
PHILADELPHIA
RICHMOND
CHICAGO
SAN FRANCISCO
ALL OTHER

3,560
53,152
4,360
4,612
13,981
29,780
12,112

798
18,906
875
473
2,447
2,012
1,967

61
292
65
157
158
304
146

2,701
33,884
3,420
3,975
11,376
27,461
9,998

2,448
29,364
3,066
3,405
9,807
22,041
8,562

1,975
31,613
3,815
3,016
14,760
28,159
9,792

1,317
11,862
2,049
3,183
6,816
26,477
4,687

178
8,223
203
150
1,052
803
513

347
5,409
444
490
1,905
4,151
1,486

97
799
199
208
326
1,013
228

440
6,316
627
701
2,183
5,236
1,713

4
•37
16
3
48
-70
1

(1) DEMAND DEPOSITS SUBJECT TO RESERVE REQUIREMENTS, I.E., GROSS DEMAND DEPOSITS MINUS CASH ITEMS IN PROCESS OP COLLECTION AND
DEMAND BALANCES DUE FROM DOMESTIC BANKS.
<21 BASED ON CLOSE OF BUSINESS FIGURES FOR RESERVE PERIOD TWO WEEKS PREVIOUS TO THE REPORT DATE.
13) BANKS WITH WEEKLY AVERAGE NET DEMAND DEPOSITS GREATER THAN $400 MILLION AS OF THE WEEK ENDING THE REPORT DATE.
(4) ADJUSTED
TO INCLUDE RESERVES IN WHICH PENALTIES HERE WAIVED IN ACCORDANCE WITH BOARD POLICY EFFECTIVE NOVEMBER 19, 1975.

NOTE* COMPONENTS MAY NOT ADD TO TOTALS DUE TO ROUNDING.


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