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FEDERAL

RESERVE

s t a t i s t ic a I

W E E K L Y SUMMARY 01 BANKING AND CREDIT MEASURES
(Averages of daily figures)

H.9

W e e k ended
Dec.
M a r g i n a l Reserve Measures & Interest Rates

Dec.

immediate release

December 18, 1969.

4 weeks ended
t
Dec. 17
Nov. 19

' Year.-a;»o data
W e e k ended 4 wks. ended
Dec. 18

Dec.

18

1,043
1 ,040
9. 14
9.82
7.88
8.67
11.33
6.90

1,199
1,161
-944 , -1,029
8.)5
8.78
9.46
9.53
7.75
7.66
,8.70
8.66
11.05
10.99
6.80
6.84

1,206
-982
8.89
9.46
7.08
8.42
9.93
,6.63

575
-207
6.00
6.32
5.93
6.20
- 7.08
5.83

531
-260
5.82
6.08
5.69
6. 12
6.99
5.74

($ bil., SA) 4/

T o t a l reserves
/
Nonborrowed reserves
Required reserves

27.9
26.8
28.0

28.1
26.7
27.7

Week ended
Dec. 10
Dec.
M o n e t a r y Aggregates

10

For

(NSA)

Member bank borrowings ($ m i l . )
Free or net borrowed ( - ) reserves ($ m i l . )
F e d e r a l funds rate
D e a l e r loan rate 1J
3 - m o n t h Treasury bi^Ll rate
3 - m o n t h CD rate (secondary m a r k e t ) 2/
3 - m o n t h E u r o - d o l l a r rate
U.S. Government bond rate 3/
Reserve Aggregates

17

1

reIe a s e

3

27.9
26.6
27.7

27. 6
26.4
27.4

4 weeks ended
Dec. 10
Nov. 12

1

28.0
27.2
27.6

27.8
27.1
27.5
4 w k s . ended

W e e k ended
Dec. 11

•

Dec.

11

($ bil., S A )

Total member bank deposits
' Money supply (Currency & demand deps. c o m . )
T i m e deposits, all commercial banks
U . S . G o v ' t , demand deposits, member banks

285.7
198.3
193.9
5.4

287.2
199.2
193.9
6.1

286.3
199.4
193.7
5.6

284.9
199.2
193.3
4.4

297.9
194.8
204.7
4.2

296.0
194.4
203.5
3.6

NSA - Not seasonally adjusted.
1/ Unweighted average rates on loans posted by major New York City banks.
2/ Average of range of offering rates on negotiable certificates of deposit w i t h 3-month maturity in secondary
3/

market.
Daily average yield on 20-year bonds .

4/

Includes

increases in required reserves due to changes in Regulations M and D of approximately $400 million

October 16, 1969.
Digitized for since
FRASER