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FEDERAL RESERVE s t a t i s t i c a l For immediate release April 24, 1969. WEEKLY SUMMARY OF BANKING AND CREDIT MEASURES (Averages of daily figures) H,9 4 weeks ended Week ended April 23 April 16 April 23 760 646 7.63 7.85 6. 19 6. 75 8.38 5.99 1,009 -821 7. 20 7.40 6. 12 6. 75 8.42 r e Ie a s e March 26 Year-ago data Week ended 4 wks. ended April 24 April 24 Marginal Reserve Measures & Interest Rates (NSA) Member bank borrowings ($ mil.,.) . Free or net borrowed ( - ) reserves ($ mil.) Federal funds rate Dealer loan rate 1_/ 3-month Treasury bill rate 3-month CD rate (secondary market) 2_/ 3-month Euro-dollar rate U.S. Government, bond rate V 1 34 ' 997 7.48 7.68 6. 18 6.89 8.38 5. 97 L 6.08 837 -635 6.80 6.99 6.04 6.62 8.46 6.22 651 -525 5. 62 5. 94 5.47 5.88 6.29 5.51 689 -342 5. 63 6.01 5.33 5.74 6. 11 5.47 Reserve Aggregates ($ bil., SA) 4_/ Total reserves Nonborrowed reserves Required reserves-— 27. 7 26.6 27. 6 27. 3 26.5 27.2 27.4 26. 5 27.3 April 16 Monetary Aggregates April 9 294.1 198.0 201.2 4.9 292.7 196.1 26.0 27.4 25.4 25. 3 26.8 Week ended April 17 April 16 293. 6 196.4 200.9 - 5.3 27. 7 26.2 25.6 25.9 4 wks. ended April 17 ($ bil., SA) Total member bank deposit^, Money supply (currency & private demand deposits Time deposits, all commercial banks U.S. Gov't, demand deposits, member banks 293.5 193.9 201.0 200.8 4.2 5.8 278. 6 186.0 187. 1 5.5 277.5 184.4 187.1 5.5 SA - Seasonally adjusted. 1/ Average C of c e r t m c a t e s l i ' d e p o s L t u h ' 3 - m o n t h maturity in secondary market. % S e r i e s ^ d jus ted ^to'elimina t e ^ i scon tinu ties from changes in reserve requirements .