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FEDERAL

RESERVE

s t a t i s t i c a l

r e l ^ a

s <

• • :*AL RBSV:-

DEPOSITS, RESERVES AND BORROWINGS OF MEMBER BANKS, FOR THE WEEKLY PERIOD CNOED

9/22/76

(AVERAGES OF DAILY FIGURES—IN MILLIONS OF DOLLARS)

GROSS

ALL MEMBER BAIWS

DEPOSITS

TOTAL

BANK

GOVT

235,414

35,100

4,477

NET
SAVINGS BALANCES
DEMAND
TIME
DUE FROM
DEPOSITS
DEPOSITS DEPOSITS DOM. BKS
11)
OTHER

195,677

171,797

208,975

135,033

OCTOBER

WITH
F.R.

8,

1976

BORR.

R E S E
CURRENCY
AND COIN REQUIRED
12 >
TOTAL<2

BANKS

7,428

19,211

F . R . DISTRICT
—

372

NEW YORK:
CITY
OTHER
PHILADELPHIA
CLEVELAND
RICHMOND
ATLANTA
CHICAGO*
CITY
OTHER
ST. LOUIS
MIWEAPOLIS
KANSAS CITY
DALLAS
SAN FRANCISCO

9,053

1,235

229

7,588

6,886

5,280

5,604

477

51,696
11,6+3
8,665
14,822
14,2%
17,653

18,297
442
877
843
805
1,708

375
344
210
281
477
353

32,928
10,849
7,577
13,693
12,972
15,590

29,358
9,754
6,804
11,791
11,535
13,809

32,892
9,644
9,651
14,393
9,920
15,585

10,288
10,684
7,477
13,254
9,708
9,009

7,151
598
608
1,021
692
1,273

5,285
1,137
924
1,595
1,361
1,795

644
467
681
643
622

9,674
20,553
8,190
5,791
11,566
16,123
35,707

2,142
1,400
1,075
593
1,494
1,872
2,319

155
550
177
146
316
286
578

7,377
18,599
6,938

12,070
23,853
7,989
7,309
10,796
15,151
34,443

2,733
20,324
4,057
4,097
5,452
4,756
27,589

736
1,778
630
432
1,030
1,453
1,333

1,459
2,313
845

138
889
259

9,752
13,964
32,798

6,831
16,063
6,428
4,505
8,664
12,680
26,688

1,195
1,828
4,677

281
356
1,198

,601
,205
,093
624
1,465
,176
5, 9 1 8

F. *
DISTRICT
BT&FIVF r . m m
BOSTON
NEW YORK
PHILADELPHIA
RICHMOND
CHICAGO
SAN FRANCISCO
ALL OTHER

3,641
51,510
3,737
5,258
13,625
29,683
11,297

803
18,280
781
382
2,546
2,163
1,749

110
373

2,728
32,760
2,868
4,665
10,855
27,040
9,376

2,464
29,210
2,594
4,083
9,468
21,738
8,194

2,015
32,621
3,578
3,225
15,347
29,702
9,458

1,022
10,275
1,614
2,956
6,142
23,190
4,072

192
7,150
214
149
1,175
1,023
548

367
5,253
388
549

75
719
165
217

,096
551
764

4,076
1,393

937
189

5,044
1

205
224
478
171

,388
,280
,013
,392

2
15 .
27

11
3
15
10
-31

-26
2
8
-19
-28
-14

(11 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 ) BASED ON CLOSE OF BUSINESS FIGURES FOR RESERVE PERIOD TWO WEEKS PREVIOUS TO THE REPORT DATE.
#3) BANKS M I L * WEEKLY AVERAGE NET DEMAND DEPOSITS GREATER THAN $ * 0 0 MILLION AS OF THE WEEK ENDING THE REPORT DATE.
(4) ADJUSTED TO INCLUDE RESERVES IN WHICH PENALTIES WERE WAIVED IN ACCORDANCE WITH BOARD POLICY EFFECTIVE NOVEMBER 19, 1975.
NOTES COMPONENTS MAY NOT ADO TO TOTALS DUE TO ROUNDING.




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