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- ' . .4/72) * £ § & F E D E R A '••fUl RtsV \ RESERVE L s t a t i s t i c a l WEEKLY SUMMARY OF RANKING AND CREDIT MEASURES (Averages of daily figures) CORRECTED Week ended 4 Wks . ended Feb. 13 |Feb. 6 iFeb. 13 I Jan. 16 ($ Bil SA) (Currency plus demand deposits) %2 ^ M i P l u s time deposits at commercial banks other than large time CD's) Adjusted credit proxy 3./ Time deposits, all commercial banks | U.S. Government demand deposits, member banks 271..9 For Immediate Release 270.1 Average of 4 Weeks Ended Feb. 20, 1974 f r o m 4 X|e<th A w " 13 weeks previous I 26 weeks previous I 52 weeks previous ~ I:! J:S U U i:S 270.2 579.,2 577.4 576.0 572.5 454.,5 ' 455.7 * 454.7 452.9 374.,0 373.4 372.6 366.5 c2,.6 4.5 c4.7 6.3 Week ended 4 Wks. ended Feb. 20 1 Feb. 13 Feb.20 1 J a n T 23 (NSA) * Member bank borrowings ($ mil.) Includes seasonal borrowings of: • Federal funds rate 3-month Treasury bill rate 90-119 day dealer placed commercial paper rate 4/ 3-month CD rate (secondary market) 5/ ~ 3-month Euro-dollar rate U.S. Government bond rate 6/ NSA--N6t Seasonally Adjusted. 271.0 e February 22, 1974 Week ended 4 Wks . Feb. 20 I Feb.13 Feb. 20 Jan. 23 ($ Bil., SA) Total reserves 35.24 35.19 35.31 35.83 Nonborrowed reserves 33.87 34.03 34.12 34.79 Required reserves 35.16 34.87 35.11 35.65 Reserves Available to Support Pvt. Nonbank Deposits 32,78 32.77 32.76 32.81 Monetary Aggregates a COPY Reserve Aggregates 1/?/ Other Reserve Measures & Interest Rates r e I •. l . 1377 20 9.07 -7.04 7.88 7.96 8.36 7.44 15 8,.93 7..08 8,.03 8,.08 8 .39 7..43 1187 18 9.,15 7..27 8,.20 8..30 8..66 7.,45 1039 21 9..75 7..72 9..00 9.,14 9..69 ' 7..45 ^ - - S e a s o n a l l y Adjusted Corrected 2/ $ NOTE: All Percentage changes are at seasonally adjusted a n n u a l i z e s , not compounded. •: