The full text on this page is automatically extracted from the file linked above and may contain errors and inconsistencies.
F EDERAL THT?------------------- RESERVE statistical release "acV 1 8 tard H.7 DEPOSITS, RESERVES ANO BORROWINGS OF MEMBER BANKS* FOR THE w e e k l y PERIOD ENDED HNiui m® of p i m ™ 8/22/79 (AVERAGES OF DAILY FI G U R E S — IN MILLIONS OF DOLLARS) SEPTEMBER 10, 1979 1 4 3 2 * D E MAND DEP0S1 LTS TOTAL INTER BANK GOVT 276,422 4 7,074 1,605 227,585 185,767 285,111 149,004 28,655 30,653 9,846 9,130 1,587 72 7,469 6,145 7,454 5,551 4 84 828 GROSS ALL M E MBER BANKS NET DEMAND DEMAND TIME SAVINGS BALANCES DUE FROM D EPOSITS OTHER (1) DEPOSITS DEPOSITS DOM. BKS R F S £ R V E S WITH CURRENCY F.R. AND COIN REQUIRED BANKS TOTAL (21 (2) EXCESS (41 BORR. AT F.R. BANKS 40,643 14 1,386 386 1,229 -13 13 5,421 1,270 1,045 1,793 1,642 * 2,202 1,051 773 571 878 809 873 6,447 2,061 1,619 2,715 2,492 3,111 27 1 -1 -7 — 14 44 29 36 151 93 F. R. DIS T R I C T ------NEW YORK 8 CITY OTHER PHILA D E L P H I A CLEVELAND RICHMOND ATLANTA CHICAGO: CIT Y OTHER ST. LOUIS MINNEAPOLIS K A N S A S CITY DALLAS S AN F R A N CISCO 62,120 12,192 9, 4 7 3 17,002 16,303 22,181 26 , 1 8 9 700 1,266 954 869 2,072 174 82 54 123 155 133 35,753 11,390 8,151 15,886 15,238 19,940 28,383 9,573 7,235 12,188 12,675 16,735 32,414 14,235 12,334 20,763 15,311 20,967 11,147 10,911 8,038 14,805 11,375 10,627 13,486 1,004 590 1,353 836 1,544 11,095 22,071 0,852 6, 8 7 7 14,153 19,970 45,003 2,879 1,586 1,092 697 1,782 2,333 3,067 78 153 55 51 84 115 275 8,138 20,329 7,705 6,129 12,282 17,520 41 , 6 5 3 6,281 16,785 6,730 5,066 10,182 15,221 32,568 13,943 3 2 ,124 11,351 11,065 16,238 24,825 52,086 2,476 21,402 4,479 4,782 6,305 5,404 31,701 1,251 1,841 642 564 1,333 1,646 2,079 1,527 2,512 949 846 1,573 2,617 6,427 158 1,216 347 228 365 483 1,708 1,696 3,732 1,300 1,074 1,939 3,097 8,131 -11 -1 -4 1 5 5 11 151 111 120 123 271 230 F. R. DISTRICT RESERVE CITYI31 BOSTON NEW YORK P HILADELPHIA R I C HMOND CHICAGO SAN FRANCISCO ALL OTHER 4,222 62,448 4,792 7,123 14,710 3 8,307 16,113 1,188 26,106 1,167 477 3,2 4 8 2, 8 8 7 2,5 7 5 36 180 28 83 95 224 116 2,997 36,148 3,596 6,559 11,367 35,191 13*383 2,399 28,758 3,254 5,211 8,587 27,245 10,120 2,832 32,874 4,750 5,894 18,234 45,475 17,048 1,296 11,800 1,910 4,111 5,637 27, 0 0 5 5,323 216 13,493 225 265 1,617 1,754 985 344 5,443 518 796 1,960 5,702 2,000 129 1,103 225 301 344 1,406 360 486 6,528 744 1,107 2,326 7,095 2,446 -12 32 — -5 -22 18 -48 3 14 — 91 14 194 163 X* (1) D E MAND DEPOSITS S U B JECT TO RE S E R V E REQUIREMENTS, I.E., GROSS D E MAND DEPOSITS MINUS C A S H ITEMS IN PROCESS OF COLL E C T I O N AND D E M A N D BALANCES DUE FROM D O M E S T I C BANKS. (2) BASED O N C L OSE OF BU S I N E S S FI G U R E S FOR R E S ERVE P ERIOD TWO WEEKS PREVI O U S TO THE R E P O R T DATE. (3) BANKS WIT H WEE K L Y A V E RAGE NET D E M A N D DEPOSITS G R E A T E R THAN $400 MI L L I O N AS OF THE WEEK ENDING THE REPORT DATE. (4) ADJUSTED TO INCLUDE RESERVES FOR WHICH PENALTIES WERE WAIVED IM ACCORDANCE WITH BOARD POLICY EFFECTIVE NOVEMBER 19, 1975. NOTES C OMPONE N T S M AY NOT ADD T O T OTALS DUE TO ROUNDING. -!