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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?