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f E D E R A L R E S E R V E statistical release , RESERVES AND B O R ROWINGS OF MEMBER BANKS, FOR THE WE E K L Y PERIOD ENDED H• 7 3/ 7/79 MARCH 28, (AVERAGES OF DAILY F I G U R E S — IN MILLIONS OF DOLLARS) GROSS ALL MEMBER BANKS NET DEMAND OEMAND TIME SAVINGS BALANCES DEPOSITS DUE FROM OTHER DEPOSITS DEPOSITS DOM. BKS (l) 1979 DEMANO DE PO SI TS TOTAL INTER BANK GOVT 271,865 44,748 1,788 2 2 5 ,187 181,917 287,813 147, 155 26,288 30,434 9,818 4 0 ,190 204 f' 1,027 8,515 1,501 63 6,949 5,726 7,075 5,439 403 762 409 1,171 2 98 R E S E R V E S WITH CURRENCY F.R. AND COIN R E Q UIRED BANKS TOT A L ( 2 ! (2) EXCESS f 41 BORR. AT F.R. BANKS F. R. DISTRICT ALL BANKS -------— m m r N EW YORK: CITY OTHER PHILADELPHIA CLE V E L A N D RICHMOND ATLANTA CHICAGO: CITY OTHER ST. LOUIS MINNEAPOLIS KANSAS CITY DALLAS SAN FRANCISCO 60,549 11,914 9,237 16,910 16,262 22,169 23,721 669 1,229 919 925 2,187 179 102 51 137 184 147 36,644 11,120 7,954 15,848 15,107 19,802 28,593 9,319 6,965 12,439 12,641 16,592 41 ,672 13,951 11,695 19,864 14,527 19,978 10,667 10,629 7,936 14,736 11,238 10,534 10,623 919 617 1 ,060 760 1,629 5,849 l ,309 1,007 1,912 1,617 2, 132 991 742 572 883 794 9 06 6, 849 2,040 1,574 2, 775 2,422 3,052 -4 34 9 25 35 • 19 70 80 125 42 77 24 11,285 22,500 8,916 6 ,831 13,943 19,655 43,180 2,732 1,727 1,206 726 1,859 2,497 2,849 57 187 62 42 154 134 287 8,496 20,581 7,648 6,056 11,922 17,023 40,038 6,222 16,571 6,647 5,014 9,870 14,547 30,769 16,131 31,208 10,590 10,294 15,214 24,035 51,579 2,458 21,626 4,5 2 7 4,791 6,358 5,489 30,727 1,514 2, 165 703 575 1,336 1 ,922 2,061 1,628 2,470 935 839 1,486 2,496 5,991 180 1,246 345 203 366 482 1,698 1,805 3,705 1,267 1,046 1,846 2,938 7,702 3 16 14 3 14 41 -6 43 102 81 46 55 102 82 F. R. OISTRICT ■ RESERVE C I T Y ! 2) BOSTON NEW YORK PHILADELPHIA RICHMONO CHICAGO SAN FRANCISCO ALL OTHER 3,280 60,832 4,820 7,292 14,591 36,686 13,897 935 23,640 1,138 556 3,027 2,687 2,312 27 186 24 93 88 2 38 no 2,316 36,989 3,658 6,640 11,476 33,758 11,475 1,787 28,902 3,266 5,442 8,227 25,672 9,080 2,192 42,139 4,564 5,704 19,705 45,018 15,072 1,108 11,300 1,911 4,017 5,340 26,018 4,105 144 10,628 235 183 1,972 1,723 602 255 5,885 507 817 2,046 5,302 2,021 112 1 ,043 238 291 333 1,395 255 373 6,933 738 1,096 2,378 6,704 2,260 -4 12 7 15 2 -4 16 27 70 6 43 43 68 8 (11 DEMAND DEPOSITS SUBJECT TO RESERVE REQUIR E M E N T S , I.E., GROSS D EMAND DEPOS I T S MINUS CAS H ITEMS IN PROCESS OF C O L L E C T I O N AND OEMA N D BALANCES DUE FROM DOMES T I C BANKS. (2) BASED ON CLOSE OF BUSINESS FI G U R E S FOR RESERVE P ERIOD TWO WEEKS PR E V I O U S TO THE REPORT DATE. v (3) BANKS WIT/1 WEEKLY A V ERAGE NET DEMANO DEPOSITS G R E ATER THAN $*00 MI L L I O N AS OF THE WEEK E NDING THE REPORT DATE. (4) ADJUSTED TO INCLUDE RESERVES FOR WHICH PENALTIES WERE WAIVED IN ACCORDANCE WITH BOARD POLICY EFFECTIVE NOVEMBER 19, 1975. Digitized forNOTE: FRASER C O M P ONENTS MAY NOT ADD TO TOTALS DUE TO ROUNDING.