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CORRECTED COPY
For immediate release

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

H .9

Week ended
Jan . 2 8

January 30 , 1970.

4 weeks ended

| Jan. 21

Jan. 28

Dec. 31

966

928
-768
8.94
9.56
7.88
.8.92
10.03
6.92

1,110
-827
8.95
9.58
7.87
. 8.71
11.11
6.92

Year-ago data
Week ended 4 wks. ended
Jan. 29
Jan. 29

Marginal Reserve Measures & Interest Rates (NSA)
Member bank borrowings ($ mil.)
Free or net borrowed ( - ) reserves ($ mil.)
Federal funds rate
Dealer loan rate 1_/
i
3-month Treasury bill rate
3-month CD rate (secondary market) 2/
3-month Euro-dollar rate
U.S. Government bond rate 3/

1,028
' -870
9.04
9.39
7.89
8.89
9.53
6 .94

-760

'

9.30
9.98
7.82
8.87
9.90
6.91

891
-703
6.27
6.54
6.15
6.41
7.38
5.99

715 .
-491
6 .37
6.67
6 .14
6.50
7 .48
5.98

Reserve Aggregates ($ bil., SA) 4/
28.0
27.8
27.0

28.0

Total.reserves
Nonborrowed reserves
Required reserves

27.8
Week ended
Jan. 14
Jan. 21

4 weeks ended
Dec. 24
Jan . 21

Week ended
Jan. 22

28.1
27.9
27.3
4 wks. ended
Jan. 22

Monetary Aggregates ($ bil., SA)
Total member bank deposits
Money supply (Currency & demand deps. com.)
Time deposits, all commercial banks
U.S. Gov't, demand deposits, member banks

284.9
201.7
192.0

202.1
192.2

285 .6
202.3
192 .9

285.7
198.6
194.0

296.3
196.0
202.9
5.6

297.7
196.1
203.9
4.6

NSA - Not seasonally adjusted.
SA - Seasonally adjusted.
1/ Unweighted average rates on loans posted by major New York City banks.
2/ Average of range of offering rates on negotiable certificates of deposit with 3-month maturity in secondary
market .
1/

Included increases in required reserves due to changes in Regulations M and D of approximately $400 million


since October 16, 1969.