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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

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*
16
—

1
a •«

5

—

9
1
—

11

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