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FEDERAL RESERVE s t a t i s t i c a l r e l e a s e O A / U , (c . ^ or immediate release WEEKLY SUMMARY OF BANKING AND CREDIT MEASURES' (Averages of daily figures) H.9 July 30 July 23 July 30 July 2 July 31 July 31 (NSA) Member bank borrowings ($ mil.) Free or net borrowed ( - ) e s e r v e ^ ($ mil.) Federal funds rate Dealer loan rate V 3-month Treasury bill rate 3-month CD rate (secondary market) 2J 3-month Euro-dollar rate U.S. Government bond rate 3/ Reserve Aggregates Year-ago data Week ended 4 wks. ended 4 weeks ended Week ended .Marginal Reserve M e a s u r e s - & Interest: Rates July. 31, 1969. 1,273 -1,194 8.05 8.65 7.12 8.75 10.45 6.26 1,231 1,355 -1,056 •1,001 8.50 8.71 9.25 8.96 7 .08 7 .03 8.81 8.77 10.89 10.84 6.25 6.28 1,383 -17075 8.75 9.36 6 .50 8.13 11.18 6 .27 602 -244 6.05 6 .25 5.19 5.88 6 .28 5 .19 531 -162 6.06 6 .20 5.31 6 .11 6.35 ,5.29 ($ bil., SA) 4/ Total reserves Nonborrowed reserves Required reserves A 26.5 25.3 26.4 27.0 25.6 26.7 W e e k ended July 23 July 16 26.9 25.6 26.7 27.6 26 .2 27 .3 4 weeks ended July 23 June 25 26.9 26 .4 26.5 Week ended July 24 26.6 26.1 26.3 4 wks. ended July 24 Monetary Aggregates ($ bil., SA) Total member bank deposits Money supply (currency & private demand deposits) Time deposits, all commercial banks U.S. Gov't, demand deposits, member banks 284.8 195.5 195.3 3.0 283.4 195.6 196.2 1.0 285.4 195.8 196.6 2.6 290.2 195 199.3 4.2 282.4 188.6 191.1 4.1 280.0 189.3 189.8 2 .4 SA - Seasonally adjusted. Unweighted average rates on loans posted by major New York City banks. Average o£ range of offering rates on negotiable certificates of deposit with 3-month maturity in secondary market. Daily average yield on 20-year bonds. Series adjusted to eliminate discontinuties from changes in reserve requirements.