The full text on this page is automatically extracted from the file linked above and may contain errors and inconsistencies.
F E D E R A L R E S E R V s t a t i s t i c a l •f E , r e l e a s e For W E E K L Y SUMMARY OF BANKING AND CREDIT MEASURES (Averages of doily figures) .y H .9 F e b . 18 Feb. 25 M a r g i n a l Reserve Measures & Interest M e m b e r b a n k borrowings ($ m i l . ) Free or net borrowed ( - ) reserves Rates 1,064 -991 ($ m i l . ) ,111 -888 8.41 9.18 6.84 8.35 9.28 3 - m o n t h E u r o - d o l l a r rate U . S . G o v e r n m e n t bond rate 3/ 6.61 9.39 9.78 6.83 /8.48 9.31 6.57 W e e k ended F e b . 18 F e b . 11 27.7 28.0 27.6 27.0 27.8 26. 6 4 weeks ended Feb . 18 J a n . 21 ^ market. ™ 16, 1969. Feb. 26 -581 6.61 6.61 6.85 6.82 6.12 6.51 7.91 6.06 6.54 8.24 6.14 6.10 28.0 28.2 27.1 27.8 27.5 28.0 W e e k ended F e b . 19 297 .4 197.1 202 .6 6.8 4 w k s . ended F e b . 19 296.6 195.6 202.5 7.0 SA - Seasonally adjusted. Hi I 285.6 202.3 192.8 4.4 283.0 199.2 191.5 5.9 283.0 198.9 191.5 6.5 281.9 199.7 191.9 4.4 - Not wot seasonally seasons j. a? adjusted. cm v.-- . since October 8.58 9.39 6.71 1970. 836 758 •554 ($ bil., S A ) T o t a l m e m b e r b a n k deposits M o n e y supply (Currency & demand deps. c o m . ) T i m e d e p o s i t s , all c o m m e r c i a l banks U . S . G o v ' t , demand deposits, member banks NSA 7.20 27.7 26.5 27.5 27.5 26.5 27.5 reserves Monetary Aggregates 928 -759 8.94 9.56 7. 8.92 10.03 6.92 1,126 -970 9.05 9.57 ($ bil.« S A ) 4/ Total reserves N o n b o r r o w e d reserves Required Feb . 26 Jan. 2 (NSA) F e d e r a l funds rate D e a l e r loan rate 1/ 3 - m o n t h T r e a s u r y bill rate 3 - m o n t h CD rate (secondary m a r k e t ) 2/ Reserve Aggregates I Feb. 25 26, Y e a r - a g o data W e e k ended 4 w k s . ended 4 weeks ended e k ended i vnme d l a t e i e 1 e a s e February s d u e e„ m turity 3 D o£ - in secondary ^ aPPr oximately $425 m i l l i o n