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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. 2 5 2 5 3 1 7 1 2 —