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FEDERAL RESERVE statistical release DEPOSITS, RESERVES AND BORROWINGS OF MEMBER BANKS, FOR THE MEEKLY PERIOD ENDED 3/ (AVERAGES OF DAILY F I G U R E S — I N MILLIONS OF DOLLARS) GROSS ALL MEMBER BANKS DEMAND 0EP0S1 TS NET DEMAND DEMAND SAVINGS BALANCES TIME DEPOSITS DOE FROM OTHER DEPOSITS DEPOSITS DOM. BKS M 6/76 MARCH 2 9 , R E S E R V E S UTTFTl1CURRENCY 1 F.R. AND COIN IfIE QUI RED BANKS]1 T O T A L ( 2 1 (21 1978 1 1 |I EXCESS 1 (41 TOTAL GOVT 254,441 40,266 2,872 211,217 179,763 243,482 153,892 22,187 26,468 9,111 35,400 264 395 6,256 1,307 112 6,836 5,810 5,574 5,634 417 686 406 1,097 -4 38 21,334 521 1,004 849 834 2,056 263 219 104 198 239 205 33,597 11,323 7,773 14,703 13,900 18,180 28,620 9,810 6,919 12,169 11,932 15,739 36,446 11,608 10,769 16,394 11,712 17,612 11,088 11,460 8,363 14,935 11,084 11,023 9,259 767 564 974 700 1,438 5,037 1,164 929 1,572 1,400 1,858 924 784 549 839 720 825 5,9*0 1,939 1,477 2,400 2,115 2,686 -27 27 8 15 11 21 77 56 21 13 17 22 39 24 9 19 46 9 F . R . DISTRICT ALL BANKS BUslflN NEW YORK: CITY OTHER PHILADELPHIA CLEVELAND RICHMOND ATLANTA CHICAGO: CITY OTHER S T . LOUIS MINNEAPOLIS KANSAS C I T Y DALLAS SAN FRANCISCO 10,047 21,718 8,666 6,316 13,012 18,207 40,853 2,232 1,571 1,166 701 1,728 2,285 2,677 88 372 114 82 223 211 442 7,727 19,769 7,387 5,533 11,058 15,709 37,723 6,801 16,737 6,693 4,730 9,530 13,850 30,420 14,325 26,723 9,313 8,779 12,862 19,273 41,891 2,881 23,308 4,7*7 4,926 6,656 6,012 31,795 695 1,831 673 501 1,254 1,692 1,422 1,374 2,276 830 714 1,290 2,026 5,311 199 1,117 326 185 328 433 1,475 1,559 3,381 1,148 903 1,610 2,415 6,679 14 18 9 -3 11 45 120 P . R . DISTRICT ftjsavs m r m BOSTON NEW YORK PHILADELPHIA RICHMOND CH1CA60 SAN FRANCISCO ALL OTHER 3,730 54,938 4,477 5,609 13,700 34,310 13,313 868 21,311 931 411 2,604 2,520 2,188 53 "259 42 90 142 367 149 2,809 33,365 3,504 5,107 10,954 31,423 10,975 2,258 28,430 3,157 4,206 9,276 25,121 9,181 2,207 35,958 4,103 3,559 17,365 36,248 12,195 1,224 11,056 2,029 3,477 6,329 26,705 4,834 193 9,257 186 138 1,059 1,074 445 320 4,994 451 550 1,748 4,678 1,581 119 923 214 233 356 1,189 255 443 5,945 663 791 2,089 5,749 1,826 —5 •26 3 -7 15 119 10 55,19B 12,081 , 6,688 15,754 14,979 20,468 11) DEMAND ©EPOSITS SUBJECT TO RESERVE REQUIREMENTS, I . E . , GROSS DEMAND DEPOSITS MINUS CASH ITEMS I N PROCESS OF COLLECTION AND DEMAND BALANCES DUE FROM DOMESTIC BANKS. 1 2 ) BASED ON CLOSE OF BUSINESS FIGURES FOR RESERVE PERIOD TWO WEEKS PREVIOUS TO THE REPORT DATE. ( 3 ) BANKS WITH WEEKLY AVERAGE NET DEMAND DEPOSITS GREATER THAN $ 4 0 0 M I L L I O N AS OF THE WEEK ENDING THE REPORT DATE. (4) ADJUSTED TO INCLUDE RESERVES FOR WHICH PENALTIES WERE WAIVED IN ACCORDANCE WITH BOARD POLICY EFFECTIVE NOVEMBER 1 9 , NOTE: COMPONENTS MAY NOT ADD TO TOTALS DUE TO ROUNDING. BORR. AT F.R. INTER BANK 1975. 4 77 — — —