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/ # & , H.7 FEDERAL RESERVE statistical D E P O S I T S , R E S E R V E S AND BORROWINGS OF MEMBER BANKS, FOR THE WEEKLY PERIOD ENDED release 4/13/77 (AVERAGES OF DAILY F I G U R E S — I N M I L L I O N S O F DOLLARS) GROSS ^ £ M A N D F . R• DISTRICT -JU^-BANKS BOSTON NEW YORK: CITY OTHER PHILADELPHIA CLEVELAND RICHMOND ATLANTA CHICAGO: CITY OTHER S T . LOUIS MINNEAPOLIS KANSAS CITY DALLAS SAN FRANCISCO F . R• DISTRICT AE SERVE C I T Y C 3 ) BOSTON NEW YORK PHILADELPHIA RICHMOND CHICAGO SAN FRANCISCO ALL OTHER 11) 12) 13) NET DEMAND TIME DEPOSITS 11) DEPOSITS OTHER DEMAND S A V I N G S BALANCES DUE FROM D E P O S I T S DOM. BKS 3, 1V77 R E S E R V E S WITH 1[CURRENCY 1 F.R. AND C O I N i REQUIRED I E X C E S S (21 BANKS11 T O T A L ! 2 | 1 14) BORR. AT F.R. BANKS INTER BANK GOVT 236,166 31,645 2,069 202 ,296 179,676 209,616 153,429 16,627 25,112 8,721 33,714 274 38 8,003 1,098 119 6,785 6,186 4,989 5,623 404 713 357 1,061 11 3 46,157 11,756 9,043 15,075 14,647 19,409 14,690 465 983 761 828 1,893 149 188 95 141 160 142 31,262 11,093 7,964 14,169 1 3 , 6 35 17,364 29,311 9,810 7,060 12,462 11,897 15,330 31,291 9,709 9,688 14,357 10,420 16,147 12,169 11,487 8,268 14,295 10,797 10,336 5,276 603 624 806 688 1,383 5,236 902 860 1,469 1,258 1,752 943 825 518 818 722 756 6,176 1,717 1,396 2,287 1,982 2,487 61 21 4 4 21 29 9,321 20,654 8,643 5,835 12,100 16,796 38,728 1,888 1,428 1,156 634 1,618 1,971 2,233 51 263 88 55 166 140 312 7,382 18 , 9 5 9 7,399 5,147 10,313 14 , 6 8 2 36,142 6,904 16,601 6,907 4,623 9,183 13,405 29,996 11,975 24,212 8,369 7,660 11,312 15,930 33,558 3,290 22,805 4,607 4,679 6,428 6,136 32,489 542 1,497 627 433 1,068 1,495 1,179 1,453 2,194 802 635 1,166 1,662 4,788 163 1,028 304 180 320 417 1,369 1,594 3,204 1,098 815 1,473 2*249 6,175 22 21 9 1 16 32 22 4,017 46,397 4,486 5,390 13,092 32,129 12,367 809 14,683 919 393 2,288 2,081 1,945 78 151 31 63 93 249 102 3,130 31,507 3,535 4,927 10,711 29,776 10,319 2,893 29,538 3,152 4,145 9,695 24,469 9,372 2,356 30,912 3,750 3,274 15,169 28,633 10,015 1,498 12,333 2,077 3,429 7,062 27,417 4,987 197 5,285 225 145 740 867 371 397 5,234 425 502 1,887 4,196 1,544 122 953 202 239 323 1,080 246 513 6,183 632 734 2,184 5,283 1,789 6 61 -6 15 26 16 2 TOTAL ALL MEMBER BANKS DEPOSITS MAY 1 1 DEMAND D E P O S I T S S U B J E C T TO RESERVE R E Q U I R E M E N T S , I . E . , GROSS DEMAND D E P O S I T S MINUS CASH ITEMS I N P R O C E S S OF C O L L E C T I O N AND DEMAND BALANCES DUE FROM DOMESTIC B A N K S . 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 . 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 . ( 4 ) ADJUSTED TO INCLUDE RESERVES IN WHICH PENALTIES WERE WAIVED IN ACCORDANCE WITH BOARD POLICY EFFECTIVE NOVEMBER 1 9 , NOTE: COMPONENTS MAY NOT ADD TO TOTALS DUE TO ROUNDING. 1975 — * 16 — 1 a •« 5 — 9 1 — 11 - —-