The full text on this page is automatically extracted from the file linked above and may contain errors and inconsistencies.
4- REVISION R E S E R V s t a t i s t i c a l E r e l e a s e For Immediate Release April 13, 1972 tyEEKLY SUMMARY OF RANKING AND C R E D I T MEASURES (Averages of daily figures) Percent Change (Sea ,>nally Adjusted W e e k ended April"12 I April 5 April 12 I March 15 Annual Rates) Average of 4 Weeks Ended April 12, 1972 from 4 Week A v e r a j j T „eeks previous I 26 weeks previous | 52 weeks previous 13 Reserve Aggregates J./ Tatal reserves Nofyborrowed reserves Required reserves April 5 of 6 Fnded April S. 1972 from 4 W - t ' • 13 weeks previous I 26 weeks previous 52 weeks previous 4 Wks. ended April 5 | M a r c h ~ ($ x Bil., S A ) Monetary Aggregates MM* I March 29 (Currency plus demand d e p o s i t s ) (M 1 plus time deposits at commercial banks other than large time C D ' s ) Adjusted credit proxy 2/ Time deposits, all commercial banks U.S. Government demand deposits, member banks 234.9 233.4 234.0 482.6 375.8 281.1 9.1 479.9 373.4 280.2 6.9 480.8 ' 373.6 280.2 7.2 W e e k ended April 12 | April 5 March 15 (NSA) M a r g i n a l Reserve Measures & Interest Rates Member bank borrowings ($ m i l . ) Free or net borrowed ( - ) reserves 4 Wks April 12 ($ m i l . ) Federal funds rate 3-month Treasury bill rate 90-119 day dealer placed commercial paper rate 3/ 3-month CD rate (secondary m a r k e t ) 4/ 3-month Euro-dollar rate U.S. Government bond rate 5./ n.a.--Not A v a i l a b l e NSA--Not Seasonally Adjusted and certain other n o n d e p o s i t items. On April 5 bank-related commercial paper amounted offeXraies to $2,086 million. on negotiable certificates of deposit w i t h 3-month maturity In secondary m a r k e t D alily i l y average yield on 20-year Source: zu-year bonds. auuu. . u u u U. iS. Treasury. . ' http://fraser.stlouisfed.org/ A l l percentage,.changes a r e at seasonally adjusted, annus < i Federal Reserve Bank of St. Louis jk . , ,