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—E E D E R A L

06P0|SITS,

RESERVE

RESERVES AND BORROWINGS OF MEMBER B A N K S ,
(AVERAGES OF D A I L Y

GROSS

ALL

MEMBER BANKS

TOTAL

BANK

GOVT

31,926

9,137

9,475

1,276

469

50,315
17,181
13,349
501
8,881
843
14,075
724
13,058
r t f r s r - ""17593

1,557
627

PHILADELPHIA
CLEVELAND
RICHMOND
ATLANTA
CHICAGO:
CITY
OTHER
ST. LOUIS
MINNEAPOLIS
KANSAS C I T Y
SAN FRANCISCO

(1)
(2)
(3)
(4)

DEPOSITS

223,017

F . R. DISTRICT
A L L BANKS
BOS 1UN
NEW Y O R K :

F . R. DISTRICT
RESERVE C I T Y ( 3 )
B55T6N"
NEW YORK
PHILADELPHIA
RICHMOND
CHICAGO
SAN FRANCISCO
ALL OTHER

DEMAND

"

FIGURES—IN

771
.651
566

DEMAND
TIME
DEPOSITS
(1)
OTHER
DEPOSITS
181,953

165,0.36

204,140

statistical

FOR THE WEEKLY PERIOD ENDED

MILLIONS

DEMAND
BALANCES
DUE FROM
DEPOSITS DOM. BKS
18,321

MAY

29,393

6,885

36,201

1,032

361

1,398

6,576
1,474
1,073
1,744
.1,-436
1^982

541

7,174
2,194
1,547
2,406
2,015.
2,^72 '*

7,384
29,388
11,140
7,130
11,557
10,503
T i i w

"" 1 ^ 6 3 1 '

6,297
15,226
6,087
4,079
8,118
10,658
23,970

13,270
21,781
6,569
6,769
9,053
12,131
36,524

2,051
14,755
2,836
2,407
3,434
2,956
18,260

832
1,969
578
377
1,015
1,317
877

1,748
2,500
863
692
1,179
1,701
5,392

251
136
259

3,462
29,689
3,264
3,380
7,716
19,553
6,660

3,677
35,554
4,238
3.252
15,429
32,288
7,549

771
6,739
1,345
7.073
3,986
15,036
2,767

162
6,746
232
138
1,465

614

113

.

19,702
7,652
5,156
10,601
13,764
30,992

1,595
1,239
9 53
493
1,309
1,673
1,741

1,400

6,758
17,560
6,366
4,473
8,912
11,685
27,851

4,886
50,751
4,374
4,347
11,564
25,631
9,015

1,116
17,249
792
360
1 ,742
1,613
1,297

256
1,591
230
251
616
1,205
502

3,512
31 , 9 1 1
3,352
3,735
8,944
22,813
7,215

6,328
10,300
5,692
10,252
7,064. ,
6't342'

6,702
740
626
.

715. .
1,301 '

390

1974

R E S E

7,730

3,616

31,

AND C O I N REQUIRED
(2)
TOTAL(21
BANKS

31,578
12,221
7,629
12,581
11,600
"Tutors- - i

35,068
10,659
9,294
12,760

8/74

OF DOLLARS)

SAVINGS

96,293

5/

release

543
5 5 1,
2,113
4,7351
1,323

661
585
612
151

945

L71
236
737
169

1,858
3,366

BANKS
4/136

1,616

-5

65

-57
-10
-1
. .6
2?

-17
15

830
1,430
1,999
6,311

43
26

734
7,252
734

-53
-12

723.
2,290
5,453
1,481

.

.58
19
10

DEMAND D E P O S I T S SUBJECT TO RESERVE REQUIREMENTS, I . E . , GROSS DEMAND DEPOSITS MINUS CASH ITEMS I N PROCESS 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 BUSINESS FIGURES FOR RESERVE PERIOD TWO WEEKS PREVIOUS TO THE REPORT D A T E .
BANKS W I T H 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 .
ADJUSTED TO INCLUDE $ 5 8 M I L L I O N OF C E R T A I N RESERVE D E F I C I E N C I E S ON WHICH P E N A L T I E S CAN BE WAIVED FOR A T R A N S I T I O N PERIOD I N
CONNECTION W I T H BANK A D A P T A T I O N TO REGULATION J AS AMENDED E F F E C T I V E NOVEMBER 9 , 1 9 7 2 .

N OFRASER
T E : COMPONENTS MAY NOT ADD
Digitized for


TO TOTALS

DUE TO ROUNDING.

112
?3t,
2t)7

26
146
68
196

29
134
66
11?