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D E P O S I T S * RESERVES AND BORROWINGS OF MEMBER BANKS* FOR THE WEEKLY PERIOD ENDED

5/

7/75

(AVERAGES OF DAILY F I G U R E S — I N M I L L I O N S OF DOLLARS)

GROSS

ALL MEMBER BANKS
F.

R.

DEMAND

DEPOSITS
DEMAND
DEPOSITS
(11
OTHER

TOTAL

BANK

GOVT

221,327

31,204

5,363

184*

9,303

1,175

286

7,

DEMAND
SAVINGS BALANCES
DUE FROM
D E P O S I T S D E P O S I T S DOM. BKS
222,678

105*545

7,194

6,148

4*019

29,946
10,712
6,712
11,385
10,325
13,172

41,345
10,532
9,730
14,112
9,706
15,857

6*752
10*861
6*113
11*117
7,755
7,055

164*537

28,098

7,139

474

931

350

5*437
698
557
959
701
1,351

6,711
1,347
. 983
1,639
1,371
1,835

17*192

BORR.

, RE S E R V E S
CURRENCY I
AND COIN IREOUIRED 1 EXCESS
(2)
|
BANKS
TOTAL 1 2 1
34,926

311

DISTRICT

*B0STFL!SK*

NEW YORK*
CITY
OTHER
PHILADELPHIA
CLEVELAND
RICHMOND
ATLANTA
CHICAGO:
CITY
OTHER
S T . LOUIS
MINNEAPOLIS
KANSAS C I T Y
DALLAS
SAN F R A N C I S C O

F . R . DISTRICT
QESEFTVE C X T Y O )
BOSTON
NEW YORK
PHILADELPHIA
RICHMOND
CHICAGO
SAN FRANCISCO
ALL OTHER

48 666
12^956
14,035
12,807
16,799
9,153

10^697
32*047

15,825
12,
848
1,664

427
422
'

1,619

1,387
1,773
1,910

192
132
272
315

437
1,861

9*967

1,511

7 |

1 7 !1 3 6 6
6,
12 [ 2 2 8
29 , 3 3 3

675
109
153

,269
*436
*915
,711

671
286

,114
,171

877

4^301
12,114

413
12! 821
11,
1 4 ,1729

7,105
14,988
6,074
4,036
8,123
11,036
23,730

13,999
22,997
7,355
7,118
9,895
13,852
40,032

3,030
30,186
2,725
3,349
8,991
19,265
7,313

3,202
41,721
4>143
3,194
16,784
35*468
9*392

2,274
16,260
3,172
2,889
4*008

853
7*161
1*297
2*235
4*698
16*385
3*118

415
1,040
1*463
1,470

1,730
2,294
818
623
1,126
1,678
5,014

210
5,458
176
155
697
1,126
528

494
6,732
468
537
2,109
4,402
1,405

222
1,803

1,275

6

7,077

177

2,450

25

1,842
3,171

21

1,097

97
584
163
174
231
867
178

590
7,143
638
702
2,326
5,240
1,593

l

( 1 ) DEMAND D E P O S I T S S U B J E C T TO RESERVE REQUIREMENTS* I . E . * GROSS DEMAND D E P O S I T S MINUS CASH ITEMS I N PROCESS OF COLLECTION AND
DEMAND BALANCES DUE FROM DOMESTIC B A N K S .
NL__
< 2 1 BASED ON CLOSE OF B U S I N E S S F I G U R E S FOR RESERVE PERIOD TWO WEEKS P R E V I O U S TO THE REPORT D A T E .
( 3 1 BANKS WITH WEEKLY AVERAGE NET DEMAND D E P O S I T S GREATER THAN $ 4 0 0 M I L L I O N AS OF THE WEEK ENDING THE REPORT D A T E .



NOTE*

COMPONENTS MAY NOT ADD TO TOTALS DUE TO ROUNDING.

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