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m F E D E R A L R E S E R V E s t a t i s t i c a l r e l e a s e f'UiMiy: WEEKLY SUMMARY OF BANKING AND CREDIT 1CASURES (Averages„of daily figures) For Immediate Release December 2 , 1976 Percent Week ended c. 1 1 Nov. 24 Dec. 1 ($ Bil., SA)„ 17" Reserve Aggregates—' Total reserves Nonhorrowed reserves Required reserves 35.34 35.26 34.91 Mj (Currency plus demand deposits) **2 P l u s time/deposits at commercial banks other than large time CD's) Adjusted credit proxy 2J Time deposits, all commercial banks U.S.. Government demand deposits, member banks 34.52 34.41 34.30 307.9 310.8 309.9 309.9 731.2 534.4 48-5.7 4.9 732.4 535.0 ,483.7 *—5.3 730.9 533.4 725.4 528.7 477.6 3.5 Her. 1 Other Reserve Measures & Interest Rates N3A--Not Seasonally Adjusted 34.91 34.85 34.65 Week ended 4 Wks . ended Nm,. ?L 1 Nov. 17l Nov. 24 I Oct. 27 ($ Bil., SA) Monetary Aggregates Member bank borrowings ($ mil.) Includes seasonal borrowings of: Federal funds rate 3-month Treasury bill rate 90-119 day dealer placed commercial paper rate 3-month CD rate (secondary market) 4/ 90-day CD rate (primary offering) 5/ 3-month Euro-dollar rate U.S. Government bond rate 6/ 34.63 34.59 34.49 | No^.~ 3J 19 4.78 4.46 4.75 4.77 4.50 5.18 7.44 1 Nnv. 44 21 4.90 4.67 4.90 4.97 4.76 5.20 7.58 Change (Seasonally AdinstPrf Annual Average of 4 Weeks Ended n„r l. 1976 13 weeks previous | 26 weeks previous 5.3 5.7 4.4 5.2 5.7 4.8 from 4 Week Averaees I 52 weeks previous 1.2 1.2 1.0 Average of 4 Weeks Ended Nov. 24, 197T" from 4 Week Averages 13 weeks previous | 26 weeks'preyicms [ 52 weeks previous Tto*. 1 I Nmr. 1 • 59 21 4.92 4.72 4.97 5.00 4.83 5.28 7.62 «104 31 5.61 4.88 5.06 5.09 4.98 5.41 7.69 SA--Seasonally \djus ted . ncludes member bank deposits, loans sold to bank-related institutions, Euro-dollar borrowings of U.S. banks, and certain nondeposit items r Lm Nm» 24, 7 A 1976 10/K hanb.vAi 4 «1paper amounted — Jto.—$7768million. J1 i» ' On Nov. bank-related commercial Average of range of offering rates of negotiable certificates of deposit with three month maturity in secondary market. Posted rates ra es m 0 8 t 5 ° f ten quoted on new offerings of negotiable certificates of deposit in denominations of $100,000 or more. Yield at 20-year constant maturity. Source: U.S Treasury. * All percentage changes are at seasonally adjusted annual rates, not compounded.