The full text on this page is automatically extracted from the file linked above and may contain errors and inconsistencies.
'7' mr F E D E R A L \H.9XR^V. 1/76) E S E R V F s t a t i s t i c a l Total reserves Nonborrowed reserves Required reserves . Reserves Available to Support Pvt. Nonbank Deposits Monetary Aggregates M^ (Currency plus demand deposits) Mg <Mi Plus t i m e deposits at commercial banks' other than large time CD's) Adjusted credit proxy 2/ Time deposits, all commercial banks U.S. Government demand deposits, member banks sures & Interest Rates Member bank borrowings ($ mil.) Includes seasonal borrowings of: C> Federal funds rate 3-month Treasury bill rate 90-119 day dealer placed commercial paper rate 3-month CD rate (secondary market) 4/ 90-day CD rate (primary offering) 5/ 3-month Euro-dollar rate U.S. Government bond rate 6/ - NSA--Not Seasonally Adjusted. V Week ended 4 Wkp . ended July 21 I July 14l July 21 1 June 23 ($ Bil., SA) 34.33 34.11 34.57 34. 16 34.27 33.94 34.44 34.02 34.10 34.04 34.21 33.97 32.22 31.96 32.28 31.91 705.2 704.9 522% 1 522.7 471.5 472.1 2.5 2.0 Week ended July 21 | July 61 ' 24 5.30 5.20, 5.50 5,47 5.39 5.75 8.01 1 of "'-?, t t * i 9 > T For Immediate Release July 22, 1976 Average of 4 Weeks Ended July 21. 1976 from 4 Week Average 13 weeks previous | 26 weeks previous I 52 weeks previa-.. 6.4 5.3 4.7 5.5 Week ended 4 Wks . ended July 14 I July 7 I June~16 ($ BHI., SA: 304.1 304.3 303.0 303.7 177 23 5.27 5.21 5.60 5.58 5.38 5.76 7.96 132 26 5.38 5.28 5.63 5.63 5.48 5.81 8.00 ' 1.3 4.8 5.5 3.9 9.0 10.9 8.9 3.2 7.8 3.4 4.6 J .137 17 5.48 5.44 5.86 5.88 5.72 6.32 , 8.06 s k °f8r°uth borro " ines o£ u reserves and other reserve aggregates - s • banks and certain nondeposit items. most often quoted on new offerings of negotiable certificates of deposit a8e from 4 Week Averages | 52 weeks previ<5&s SA--Seasonally \djusted . Digitized11/forYield FRASER at 20-year constant maturity. - Source: U.S. Treasury. NOTE: http://fraser.stlouisfed.org/ ^J^E5® , changes are at seasonally adjusted annual rates, Federal Reserve Bank of St. Louis nt 1.1 -0.2 -0.3 1.2 Average, of 4 Weeks Ended, July 14. 1976 13-weeks previous | 26 weeks previous 702.7 699.8 522.6 519.6 471.0 -465.3 2.7 3.9 4 Wks. ended 1<T" July 21 | June 23 - nt annual - A1 r e l e a s e WEEKLY SUMMARY OF BANKING AND CREDIT MEASURES (Averages of daily figures) Reserve Aggregates 1/ Other-Reserve 1 R not compounded. in denominations of $100,000 o r v