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FEDERAL

RESERVE

D E P O S I T S . RESERVES AND BORROWINGS OF MEMBER bANKS,

FOR THE MEEKLY PERIOD ENDED

10/

(AVERAGES OF DAILY F I G U R E S — I N M I L L I O N S Oh DOLLARS)

DEPOSITS

ALL MEMBER BANKS
F.

R.

UClObEK 26,

BANK

GOVT

2*1,767

36,844

3,232

145

7,791

6,946

34,669
11,113
7,669
13,976
13,210
15,857

19,664

<6,028

3*,099

209,399

137,141

5,660

819

30,596
9,723
6,751
12,021
11,282
13,858

32,646
9,661
9,699
14,421
9,972
15,640

10,425
10,845
7,555
13,407
9,843
9,144

5,599
1,118
901
1,559
1,330
1,732

6,400
1,820
1,406
4,328
2,031
2,411

7,734
19,025
7,065
5,126
9,979
14,090
34,240

7,270
16,099
6,450
4,517
8,758
12,651
27,415

12,077
23,865
7,994
7,376
10,851
15,164
34,570

2,760
20,650
4,109
4,147
5,539

1,467
2,294
827
. 652
1,176
1,831
4,722

1,605
3,252
1,097
826
1,464
2,199
6,037

3,350
34,402
2,925
4,707
11,380
28,284
9,675

2,992
30,387
2,660
3,699
10,083
22,429
8,682

2,318
32,567
3,587
3,198
15,327
29,795
9,655

1,221
10,410
1,625
3,015
6,217
23,708
4,324

201,544

174,337

Iftb

k E S E
LURHTNCV
AND COIN itEUUIREU

DEMAND
BALANCES
DEPOSITS
DUE FROM
DEPOSITS DEPOSITS DOM. BUS
1 11

TOTAL

6/?t>

DISTRICT
9,213

1,276

53,638
11,860
8,758
15,057
14,456
16,056

18,598
517
956
878
1,925

345
271

9,913
20,966
8,*22
5,909
11,820
16,442
31,260

2,085
1,549
1,210
666
1,632
2,128
2,594

94

4,352
53,950
3,821
5,256
14,074
31.034
11,825

947
18,578
852
397
2,540
2,429
1,996

NB4 YORK:
PHILADELPHIA
CLEVELAND
RICHMOND
CHICAGO*
CITY
OTHER
S T . LOUIS
MINNEAPOLIS
KANSAS CITY
DALLAS
SAN FRANCISCO
F.

R.

28,206

60*
1,945
729
487
1,142
1,626
1,223

DISTRICT

BOSTON
NEW YORK
* PHILADELPHIA
RICHMOND
CHICAGO
SAN FRANCISCO
ALL OTHER

154
318
153

219
6,820
210
177

527
5,565
377
541
1,920
4,121
1,514

764
177
230
2U9
1,070
224

768
2,204
5,150
1,735

1 1 1 DEMAND DEPOSITS SUBJECT TO RESERVE REQUIREMENTS, I . E . , GROSS DEMAND DEPOSITS MINUS CASH ITEMS IN PROCESS OF COLLECTION AND
DEMAND BALANCES DUE FROM DOMESTIC BANKS.
| 2 I BASED ON CLOSE Of B U S I N E S S FIGURES FOR RESERVE PERIOD TWO WEEKS PREVIOUS TO THE REPORT DATE.
1 9 1 BANKS WITH WEEKLY AVERAGE NET DEMAND DEPOSITS GREATER THAN * 4 0 0 MILLION AS OF THE WEEK ENDING THE REPORT DATE.
( 4 ) A?JUSTED TO INCLUDE RESERVES IN WHICH PENALTIES WERE WAIVED IN ACCORDANCE WITH BOARD POLICY EFFECTIVE NOVEMBER 19, 1975.
NOTEI
COMPONENTS NAY NOT ADO TO TOTALS DUE TO ROUNDING.