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•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.



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