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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

!_

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