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