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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.




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