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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 — 201 27