The full text on this page is automatically extracted from the file linked above and may contain errors and inconsistencies.
•FEDERAL . 4/72) RESERVE statistical WEEKLY SUMMARY OP SAUCING AND CREDIT MEASURES (Averages of dally figures) Z3 Reserve Aggregates l"7o7 Total•reserves Nonborrowed reserves Required reserves Reserves Available t o Support Pvt. Nonbank Deposits Monetary Aggregates (Currency plus demand deposits) **2 (**l Plus time deposits a t commercial banks' other than large time CD's) Adjusted c r e d i t proxy 3/ Time deposits, a l l commercial banks U-S. Government demand deposit*, member banks Other Reserve Measures & Interest Rates Member bank borrowings ($ m i l . ) Ped«0alUdf»Bndr"«al b " r o » l " 8 S of: 3-month Treasury b i l l r a t e 90-119 day dealer placed commercial paper r a t e 4/ 3-month CD r a t e (secondary market) £ / ~ 3-month Euro-dollar r a t e U.S. Government bond r a t e 6/ release Week ended 4 Wks. ended J a n . 9 I Jan 21 J a n - 9 I Dec" 12 ($ B i l . , SA) 35.50 34.91 35.19 34.84 34.50 33.48_ „33.81 33.20 34.82 „ 35.00 34.60 32.42 32.60 32.59 Week ended 4 Wks. ended J a n . . 2 ~|Dec . 26 1 JanT" I Dec. 5 ~ (9 B i l . , S SiA T ~ 269.2 567.7 453.5 362.6 269.0 For Iumediate Release January 10, 1974 Percent Change (Seasonally 1.."7.4 7.1 7.8 8.7 6.9 8.0 -0.9 5.9 Average of 4 Weeks Ended , T n n . 2 . 1974 13 weeks wis | 26 weeks previous 7.7 8.1 7.7 8.6 from 4 Week 52 , previous 268.7 567.7 566.8 451.6 450.1 361.6 fi.O Week ended 4 Wks. ended 9 I Jan. Jan. 9 1 Peel (NSAj 19 9.76 7.57 8.98 9.08 .9.38 7.43 2*kL 1210 1129 31 31 9.87 9.,83 7.48 7.,47 9.16 9. 12 9.19 9. 15 10.31 10. 25 7.39 7. 35 68 10.13 7.56 9.34 9.42 10.38 7.27 ^•••15 #SA—Not S e a s o n a l l y Adjusted SA—Seasonally Adjusted NOTE: All percentage change, .re at eeaaonell, «d1a.t«l .nnuiil rate., not compounded. ^