View original document

The full text on this page is automatically extracted from the file linked above and may contain errors and inconsistencies.

JBfc

FEDERAL'
DEPOSITS,

RESERVES AND BORROWINGS OF

V
\

\

( AVERAGES OF D A I L Y

CLASS OF

BANK

*'

DEMA ND

F.R. DISTRICT
ALL

RESERVE

MEMBER

BANKS .

R E S E R V E C I T Y BANKS
B U M UN
"

DEPCSI TS

23,690

115,533
3, iSC

*

.

"OR

THE

3,9,11

156,882

137 , 1 2 7

21,192
710

2,356
bZ

91,985
%,4ZB

79,762
2,293

4 2 , 164
967
4,042
6,931
5,234
4,937

10,535
66

569
24

7,719
6 , 160
3,235
1,650
3,091
4, 894
20,311

1,392

69,150
5,343
10, 745
4,045
4,968
4,630
7,563
10, 833
3,269
2,650
5,242
5, 854

2,698
207
263
52
51
136
582
288
68
110
407

•

WEEKLY

PERIOD ENDED SEPTEMBER 16, 1970

M I ; ! IONS OF DOLLARS)

*

DEMAND
DEPOSITS
< 1)
OTHER

BANK
134 * 6 8 2

*

MEMBER BANKS,
FIGURES — I N

SAVINGS
DEPOSITS

DEPOS I T S

95,001

74,318

52,78.4
, 3 4 , 53 1
1,291 ' '
' 902

October 6, 1970

DEM AN D *
BALANCES
DUE FROM
DOM. BKS

*

10,258
3,445
117'

I

* *
WITH

RE S E R
CURRENCY
AND COIN REQUIRED
BANKS
TOTAL 12 I

23,708

5.213

16,190

2,156

ar

28,565
,

18,180
'509 •

NEW YORK

PHILADELPHIA
CLEVELAND
RICHMOND
ATLANTA
CHICAGO
CITY
OTHER
S T . LOUIS
M INNEAPOLIS
KANSAS C I T Y
DALLAS
SAN FRANCISCO

COUNTRY BANKS
BOSTON
NEW YCRK
P H I L ACELPHIA
CLEVELAND
RICHMOND
ATLANTA
CHICAGO
ST. LOUIS
M1NNEAPOLIS
KANSAS C I T Y
SAN

ID
12)

FRANCISCO

4,008

525
1,022

442
82 6
1,214
1,219

50

110

170
149

117
547

1,555
1 78

143
1 C9
139

877
3,242
6,082
4,565
3,805

787
3,096
5,484
4,190
3,525

13,471
717
2 , 0 14
3,675
1,900
1,902

5,27 1
789
1, 130
3,850
2,010
1,257

6,157
5,133
2 , 2 03
1,155
2,170
3,563
18,545

6 , 0 27
4,194
2,336
1,171
2,120
3,510
15,334

3,782
4,398
1,187
712
1,174
2,466
14,095

1,795
2,939
740

68 8
12,907

64,897
4,958
10,246
3 ,893
4,774
4,385
6,842
10,293
3,118
2,489
4,725
5,302
3,872 j

57,365
4,463
9,075
3,469
4 ,209
3 ,916
6,117
9,004
2 ,762
2 ,180
4,229
4,597
3,344

42,217
1,769
4,996
2,564
3,018
2,216
4,171
8,591
2,328
3, 198
3,216
3,472
2,678

3 9, 787
2, 7 2 7
8 , 209
3, 332
3 , 899
2 , 64 8
3,131
8,063
1, 170
1,061
1,704
1,452
2,391

5 , 160
145
575
1,094
712
666

147
51
201
316
50 2

6,813

1 ,206
905
435
238
437
739
3,417

129
218
184

188

5,478
2 01
700
1,320
895
772

-24
7

792
3,904

3
31
7
35

7,518
48 3
1, 188
445

3,057

10,385
742
1 ,665
660

74 7
1,326
365

332

1,056
1 ,776
4 74

469

176

123

11
"7

1,326
1,086

20
40
52 2 '

-2

7

190

DEMAND DEPOSITS SUBJECT TO RESERVE REQUIREMENTS, I . E . , GROSS DEMAND D E P O S I T S MINUS CASH ITEMS I N PROCESS OF C O L L E C T I O N AND
DEMAND BALANCES DUE FROM DOMESTIC BANKS.
B E G I N N I N G SEPTEMBER 1 2 , 1 9 6 8 , BASED ON CLOSE OF BUSINESS FIGURES FOR THE RESERVE PERIOD TWO WEEKS PREVIOUS TO REPORT D A T E .




230
5

33