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r e l e a s e DEMAND DEPOSI TS TOTAL INTER BANK GOVT 276,609 39,964 2,944 233,567 194,677 282,943 148,689 22,898 31,504 8,869 1,332 128 7,409 6,394 7,070 5, 563 497 GROSS ALL MEMBER BANKS 1 NET DEMAND TIME DEMAND SAVINGS BALANCES DEPOSITS DUE FROM DEPOSITS DEPOSITS DOM. BKS OTHER (1) R E S E R V E S WITH CURRENCY F.R. AND COIN REQUIRED (2) BANKS TOT A L (2! EXCESS (4) 30RR. AT F.R. BANKS 9,650 41,130 158 949 883 396 1,259 21 77 F. R. DISTRICT ALL BANKS BOSTON NEW YORK: CITY OTHER PHILADELPHIA C LEVELAND RICHMOND ATLANTA CHICAGO: CITY OTHER ST. LOUIS MINNEAPOLIS K ANSAS CITY DALLAS SAN FRANCISCO 55,192 12,660 9,996 17,686 17,041 23,675 19,930 699 1,241 840 866 2, 188 519 167 81 211 213 185 34,739 11,773 8,672 16,631 15,919 21,272 29,143 10,033 7,444 13,394 13,256 18,168 37,966 13,823 11,665 19,941 14,744 20,167 11,087 10,823 7,977 14, 822 11,328 10,621 8,351 812 667 993 814 1,561 6,146 1,272 1,049 1,808 1,603 2,186 987 753 553 877 8 09 898 7, 130 2,028 1,594 2,680 2,420 3,085 8 19 10 10 37 30 175 70 101 25 103 19 10,739 23,358 9,340 6,969 14,487 20,186 46,409 2,330 1,618 1,142 682 1 ,778 2,354 2,965 145 264 85 80 211 204 451 8,264 21,472 8,113 6,200 12,490 17,627 42,987 6,405 17,887 7,07 1 5,262 10,468 15,458 34,292 15,379 31,576 10,722 10,477 15,377 24,041 49,993 2,526 21,724 4, 556 4,799 6,349 5,497 31,019 914 1,863 684 526 1,313 1,758 2,145 1,814 2,523 923 829 1,521 2,562 6,3 83 169 1 ,204 339 204 358 474 1,627 1,977 3,708 1,255 1,036 1,890 3,022 8,047 7 24 7 4 -3 16 -30 69 87 41 49 54 34 46 F. R. DISTRICT RFSFRVF riTVC^l BOSTON NEW YORK PHILADELPHIA RICHMOND CHICAGO SAN FRANCISCO ALL OTHER 3,335 55,600 5,151 8,116 15,288 39,498 17,270 775 19,874 1,151 553 2,818 2,792 2,730 60 548 42 116 209 390 258 2,499 35,161 3,958 7,443 12,260 36,312 14,281 2,274 29,539 3,405 5,935 9,424 28,733 11,493 2,128 38,412 4,483 6,150 20,111 43,463 16,701 1,137 11,733 1,936 4,420 6,015 26,347 5,054 194 8,357 265 251 1 ,285 1,801 639 346 6,186 542 830 2,326 5,684 2,207 111 1,042 214 337 372 1,332 302 452 7,220 752 1, 155 2,689 7,051 2,497 6 24 4 16 10 -31 12 23 175 43 59 64 36 20 (II DEMAND DEPOSITS SUBJECT TO RESERVE REQUIREMENTS* I.E., GROSS DEMAND DEPOSITS MINUS CASH ITEMS IN PROCESS OF COL L E C T I O N AND DEMAND BALANCES DUE FROM DOMES T I C BANKS. (2) BASED ON CLOSE OF BUSINESS FIGURES FOR RESERVE PERIOD TWO WEEKS PREVIOUS TO THE REPORT DATE. (3) BANKS WITH WEEKLY AVERAGE NET D EMAND DEPOSI T S G REATER THAN $400 MILLION AS OF THE WEEK ENDING THE REPORT DATE. Digitized FRASER TO INCLUDE RESERVES FOR WHICH PENALTIES WERE WAIVED IN ACCORDANCE WITH BOARD POLICY EFFECTIVE NOVEMBER 19, 1975. (4)for ADJUSTED http://fraser.stlouisfed.org/ NOTE: CO MP ONE NT S MAY NOT ADD TO TOTALS DUE TO ROUNDING. Federal Reserve Bank of St. Louis