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FEDERAL RESERVE s t a t i s t i c a l reletifse '-SB#' POSITS, RESERVES AND BORROWINGS OF MEMBER BANKS, FOR THE WEEKLY PERIOD ENDED 6/26/74 (AVERAGES OF DAILY FIGURES—IN MILLIONS OF DOLLARS) GROSS ALL MEMBER BANKS DEMAND DEPOSITS TOTAL INTER BANK GOVT 209,105 28,014 3,007 ' NET DEMAND DEMAND SAVINGS BALANCES TIME DEPOSITS DUE FROM (1) OTHER DEPOSITS DEPOSITS DOM. BKS 178,084 157,922 219,972 96,482 SEPTEMBER 26 , R E S E R V E S WITH CURRENCY F.R. AND COIN REQUIRED 12) BANKS TOTAL*21 15,594 30,452 6,614 36,920 EXCESS F »R » BANKS 146 3.533 F . R . DISTRICT ALL BANKS NEW YORK T CITY • PHILADELPHIA CLEVELAND RICHMOND ATLANTA CHICAGO* CITY OTHER MINNEAPOLIS KANSAS C I T Y DALLAS SAN FRANCISCO F . R . DISTRICT RESERVE C I T Y < 3 ) BOSTON NEW YORK PHILADELPHIA RICHMOND CHFCAGO SAN FRANCISCO ALL OTHER 8,740 997 149 7,595 6,926 6,825 3,667 405 1,045 326 1,377 -7 95 43,963 12,675 8,256 13,490 12,59* 16,156 14,358 403 751 669 782 1,441 318 203 128 261 256 252 29,286 12,069 7,377 12,541 11,557 14,463 26,705 10,831 6,710 11,239 10,113 12^891 41,968 10,767 9,571 14,160 9,672 15,160 6,159 10,406 5,705 10,336 7,162 6,379 5,187 681 547 750 771 1,167 7,026 1,525 1,130 1,887 1,430 li»6l 528 701 435 611 561 7,451 2,211 1,571 2,479 2,051 2,533 105 16 -5 1,457 117 90 62 3t2 8,447 18,870 7,413 5,052 10,166 13,575 29,707 1,497 1,172 916 514 1,224 1,613 1,657 90 387 126 91 187 187 373 6,860 17,311 6,371 4,447 6,755 11,775 27,677 6,283 14,759 5,943 3,971 7,840 10,488 23,221 14,898 22,710 6,920 7,068 9,354 12,608 38,292 1,995 14,756 2,858 2,463 3,458 2,949 18,189 436 1,781 531 393 959 1,238 748 1,900 2,566 890 716 1,193 1,700 5,480 132 113 239 143 253 328 932 2,001 3,367 1,118 858 1,434 2,004 6,465 31 13 10 1 13 23 -53 21 257 63 1A2 118 143 352 3,897 44,402 3,552 3,596 10,778 24,573 8,938 770 14,417 650 349 1,657 1,542 1,291 51 329 38 58 121 288 121 3,076 29,655 2,864 3,189 9,001 22,743 7,525 2,782 27,016 2,641 2,797 7,584 18,693 6,602 3,797 42,440 4,081 2,739 17,455 709 6,566 1,192 1,771 3,924 14,976 2,700 162 5,229 209 140 935 492 290 542 7,075 528 477 2,268 4,821 1,412 91 564 146 143 216 724 157 643 7,531 685 636 2,445 5,603 1,546 -10 108 -11 -15 39 -58 22 8*890 I ! 1 ) DEMAND DEPOSITS SUBJECT TO RESERVE REQUIREMENTS, I . E . , GROSS DEMAND DEPOSITS MINUS CASH ITEMS I N 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. 1 3 ) BANKS WITH WEEKLY AVERAGE NET DEMAND DEPOSITS GREATER THAN $400 MILLION AS OF THE WEEK ENDING THE REPORT DATE. NOTE: COMPONENTS MAY NOT ADD TO TOTALS DUE TO ROUNDING. 1,4*7 !_ 123 301