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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