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F E D E R A L M R E S E R V E statistical 332-. release WEEKLY SUMMARY OF BAIKING AND CREDIT WASURES (Averages of daily figures) For Immediate Release July 10, 1975 Percent Change CSftaBn M n v Reserve Aggregates 1/ Total reserves Nonborrowed reserves Required reserves Reserves Available to Support Pvt. Ncmbank Deposits Mj. (Currency plus demand deposits) *2 (**1 P* U 8 t l m e deposits at commercial banks other than large time CD's) Adjusted credit proxy 2/ Tine deposits, all commercial banks U.S. Government demand deposits, member banks 35.18 34.84 34.94 33.08 Member bank borrowings ($ mil.) Includes seasonal borrowings of: Federal funds rate . 3-month Treasury bill rate 90-119 day dealer placed commercial paper rate 3-month CD rate (secondary market) 4/ 3-month Euro-dollar rate U.S. Government bond rate 5/ : ; 3/ 34.43 34.35 34.30 32.80 5.0 2.3 3.8 1.7 294.7 294.1 290.8 10.6 649.0 507.3 438.4 647.8 634.6 502.7 433.9 2.5 13.1 6.9 6.9 . 2.6 223 13 6.06 6.06 6.28 6.61 7.36 8.18p , ' 871 15 6.31 ' 5.94 6.20 6.46 6.84 8.11 ;S8 3.7 4 Wks. ended I July 9 I June 11 340 12 5.85 5.66 „ 5.95 6.14 6.62 8.08p 82 10 5.17 5.17 5.49 5.63 5.96 8.14 SA--Seasonally \djusted. m from 4 u«ek Average* i 52 weeks previous 1.0 -3.1 -1.7 -2.6 -2.5 Average of 4 JWeeks Ended July 2. 1975 : 13 weeks — — ' 26 weeks =•-- previous 293.2 deposit -ith All percentage changes are at seasonally adjusted annual -rates, not compounded. Average of 4 Weeks Ended July 9. 1Q7S 13 weeks previous I 26 weeks previous 648.1 505.2 439.2 1.4 Week ended Ly 9 IJuly 2 Other Reserve Measures & Interest Rates I' NOTE: 35.63 34.76 35.24 33.25 34.89 34.67 34.81 32.95 \ Week ended . 4 Wks . ended IJune 25 I July 2 <9 Bil., SA) Monetary Aggregates N3A-Not Seasonally Adjusted. Week ended 4 Wks. ended I July 2 July 9 .TiiTy 9 I.June 11 ($ Bil., SA) 11.1 5.3 8.4 9.6 1.0 1.1 1 from 4 Week Averages I 52 weeks previous 8.4 5.4 9.7