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feder M!

statistical release

DEPOSITS, RESERVES AND BORROWINGS OF MEMBER BANKS,

H.7

FOR THE W EEKLY PERIOD ENDED

5/ 2/79
MAY 24,

(AVERAGES OF DAILY FIGURES— IN MILLIONS OF DOLLARS)

GROSS

ALL MEMBER BANKS

NET
DEMAND
TIME
DEPOSITS
(1)
DEPOSITS
OTHER

DEMAND
SAVINGS BALANCES
DUE FROM
DEPOSITS DOM. BKS

1979

EXCESS
( 4)

RORR.
AT
F.R.
BANKS

41,661

151

1,217

405

1,276

7

114

R E S E R V E S
WITH CURRENCY
F.R.
AND COIN REQUIRED
T0TAL12)
(2)
BANKS

DEMAND

DEPOS I TS

TOT AL

INTER
BANK

GOVT

277,186

44,865

1,976

230,211

185,890

282,829

147,193

26,965

31,714

9,963

8,955

1,443

56

7,455

6,060

7,06 9

5,458

476

876

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

62,271
12,230
9,660
17,186
16,341
22,486

24,868
713
1,267
976
828
2,009

269
79
48
105
145
128

37,130
11,417
8,343
16,099
15,324
20,319

28,529
9,593
7,386
12,498
12,741
17,052

37,106
13,926
11,808
20,146
14,710
20,295

11,003
10,740
7,930
14,732
11,222
10,514

11,957
852
581
1,194
750
1,465

5,901
1,354
1,039
1,955
1,639
2,289

980
739
597
889
847
936

6 t 836
2,100
1,632
2, 833
2, 518
3,231

49
14
7
16
12
24

99
89
86
40
42
56

10,995
22,814
8,800
6,792
14,211
19,602
44,844

2,597
1,562
1,081
687
1,734
2,361
2,740

46
202
52
42
365
133
306

8,352
21,046
7,667
6,056
12,105
17,106
41,791

6,144
17,034
6,62 8
5,054
9,967
14,680
32,524

14,960
31,466
10,768
10,590
15,542
24 ,202
50,241

2,483
21,489
4, 504
4,754
6,269
5,417
30,676

1 ,429
2,028
669
529
1,354
1 ,697
1,984

1,645
2,624
954
864
1,550
2,583
6,441

180
1,235
354
205
375
501
1,719

1,819
3,841
1,300
1,066
1,926
3,062
8,221

5
22
8
10
7
24
-55

9
177
116
62
75
26
224

F. R. DISTRICT
RESERVE C I T Y ( 3)
BOSTON
NEW YORK
PHILADELPHIA
RICHMOND
CHICAGO
SAN FRANCISCO
ALL OTHER

3,471
62,529
5,011
7,194
15,147
38,237
15,655

872
24,753
1,178
48 5
2,990
2,570
2,587

22
274
20
74
86
260
126

2,576
37,486
3,813
6,630
12,072
35,404
12,942

1,962
28,953
3,439
5,285
8,650
27,308
9,885

2 ,126
37,534
4,614
5,705
18,997
43,705
15,904

1,102
11,647
1,913
4,024
5,603
26,081
4,638

138
11,967
214
195
1 ,980
1 ,674
728

342
5,950
525
805
2,078
5,700
2,146

119
1 ,029
242
318
393
1,406
293

461
6,927
760
1,128
2,456
7, 165
2,433

2
68
6
-1
15
-56
6

45
99
14
—

(1) DEMAND DEPOSITS SUBJECT TO RESERVE REQUIREMENTS, I.E., GROSS DEMAND DEPOSITS MINUS CASH ITEMS IN PROCESS OF COLLECTION AND
DEMAND BALANCES DUE FROM DOMESTIC BANKS.
(2) BASED ON CLOSE OF BUSINESS FIGURES FOR RESERVE PERIOD TWO WEEKS PREVIOUS TO THE R EPORT DATE.
(3) BANKS WITH WEEKLY AVERAGE NET DEMAND DEPOSITS GREATER THAN $400 MILLION AS OF THE WEEK ENDING THE REPORT DATE.
N O TE:

COMPONENTS MAY NOT ADD TO T O TA LS DUE TO ROUNDING




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