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V

s t a t i s t i c a l

E

July
M a r g i n a l Reserve Measures & Interest Rates

($ bil.. SA)

July

7 1

July 14

June 16

99.3
•952
5.13
5.38
5.35

5.68
6.41
6.33

667
-351
5 .18
5.48
5.37
5.59
6.61
6.40

758
-545
5.09
5.39
5.16
5.56
. 6.70
6.41

367
-171
4 .79
5.09
4.50
5 .25
7 .27
6.31

30.9
30.0
31.0

31.1
30.5
30.8

31.1
30.4
30.9

31.4
31.0
31.2

Week ended
June 30
July 7

4 weeks ended
July 7
June 9

343.0
347.2
228.4
256.1
2.5

341.4
345.8
226.3
255.1
3.4

28.0
26.4
27.9

27.9
26.7
27.8

Week ended 4 wks . ended
July 8
July 8

($ bil.. SA)

Total member bank deposits
Total member bank deposits plus nondeposit items 5/
Money supply (currency & demand deposit components)
Time deposits, all commercial banks
U . S . Government demand deposits, member banks
NSA

1,213
1,681
-1,047
-1,451
7.34
7 .59
8.13
8.29
6.55
6.53
8.08
8.03
9.16
8.98
7.10
6.98

4/

T o t a l reserves
Nonborrowed reserves
Required reserves

Monetary Aggregates

Year-ago data
iWeek ended 4 wks . ended
July 15
I July 15

(NSA)

Member bank borrowings ($ m i l . )
Free or net borrowed ( - ) reserves ($ mil.)
Federal funds rate
Dealer loan rate 1/
3-month Treasury bill rate
3-month CD rate (secondary market) 2/
3-month Euro-dollar rate
U . S . Government bond rate
3/
Reserve Aegregates

14 I

12

e

July 15, 1971

'4 weeks ended

W e e k ended

e & s

For immediate release

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

H.9
/(Rev. 6/70)

rel

- Not seasonally adjusted.

340.5
345.2
225.2
255.4
2i 8

340.9
345.0
225.0
252.7
3.8

294.3
314.2
211.3
205.8
4.0

291.5
312.0
210.0
203.4
5.0

SA - Seasonally adjusted.

1/ U ~ .lighted 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.
3/
4/
5/
"

Daily average yield on 20-year bonds.
,
. .
Includes required reserves against Euro-dollar borrowings and bank-related commercial paper „
sometimes referred to as the "adjusted credit proxy". Includes member bank deposits, bank-related commercial
paper, Euro-dollar borrowings of U.S. banks, and certain other nondeposit sources . On July 7 bank-related

Digitized forrFRASER e y Supply on last week's
Er at^r°Mon
http://fraser.stlouisfed.org/July 1, 1970, should
ended
Federal Reserve Bank of St. Louis

release for the w e e k ended July 1, 1970, should read 210.0; and four weeks
read 209.5.

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