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F E D E R A L

R E S E R V E

statistical

For Immediate Release

WEEKLY SUMMARY OF BANKING AND CREDIT MEASURES
(Averages of daily figures)

H.9
(Rev. 9/77)

release

February 8, 1979

Levels

Reserve Aggregates^ —REVISED SERIES
Total reserves
Nonborrowed reserves
Required reserves

Per cent Change (Seasonally Adjusted Annual Rates)"

Week ended
4 Weeks ended
Feb. 7 [Jan. 31
I Feb. 7 |jan. 10
($ Bill, SA)

Average of 4 weeks ended February 7, 1979 from 4 week averages
13 weeks previous 126 weeks previous
| 52 weeks previous

41.19
40.37
40.87

41.68
40.25
41.35
Week ended
Jan. 31 | JanT" 24

Other Reserve Measures & Interest Rates
Member bank borrowings ($ mil.)
Includes seasonal borrowings of:
Federal funds rate
3-month Treasury bill rate
90-119 day dealer placed commercial paper 2/
3-month CD rate (secondary market) 3/
~~
3-month Euro-dollar rate
U.S. Government bond rate 4/
NSA—not seasonally adjusted
1/

41.18
40.22
40.99
Weeks ended
Jan. 31 LJan. 3

2.3
2.2
4.6
3.6
3.9
3.3
1.6
1.7
4.6
Average of 4 weeks ended January 31, 1979 from 4 waeks average#
13 weeks previous
| 26 weeks previous [ 52 weeks previous

Bile, SA)

Monetary Aggregates — m m T c i m SERIES
JL (Currency plus demand deposits)
**2 ^
time deposits at commercial banks
other than large time CD's)
Time deposits, all commercial banks

41.56
40.54
41.30

357.4

358.0

359.2

361.5

-2.7

2.7

5.1

873.9
618.8

874.0
617.9

874.8
616.5

876.4
611.6

12.0

1.6

6.1
11.6

7.2
12.0

Week ended
4 Weeks ended
Feb. 7 [Jan. 31 I Feb. 7 I Jan. 1 0
.
(NSA)
818
101
10.06
9.23
9.94
10.13

1427
114
10.12
9.32
10.02
10.20

1016
106
10.07
9.33
10.12
10.32

962
119
10.14
9.26
10.46
10.81

10.63
8.93

10.65
8.90

10.89
8.97

11.71
8.98

SA—seasonally adjusted

Includes required reserves against Eurodollar borrowings and bank-related commercial
,
1—
—
— —
paper. Reserve aggregates reflect changes in Regulation D. Per
cent annual rates of arrwrh
^
^justed t 0
the e f f e c t
these structural changes.
On January 31, 1979

Hi

Yield'at^o-vcar° f ™ * ° t i a b l e certificates o f deposit With 3-month maturity in secondary market.
A/ Yield at 20-year constant maturity. Source: U.S. Treasury
NOTE: All percentage changes are at seasonally adjusted annual rates, not compounded.





Federal Reserve Bank of St. Louis, One Federal Reserve Bank Plaza, St. Louis, MO 63102