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-4-——

ESERVE
umm s
LIBRARY

r e I e a i.*-*.

ScUlIc. 4-Cx.tdUl.-f- ^ .

:Y OF BANKING AND CREDIT MEASURES
ages of daily figures)

iate release
June 12, 1969.

JUi\ *:<!,

OF RICHlviOirJt

Week ended

OF RICHMOND

trite re

4 weeks ended

June 4

June 11

May 14

Week

i

JUl\ 1 % idbS
- AESLRVE kA*
Marginal Re&gYVfi MeTTS*

statistical

12

4 wks .
June 12

Rates (NSA)

Member bank borrowings ($ mil.)
Free or net borrowed ( - ) reserves ($ mil.)
Federal funds rate
Dealer loan rate V
3-month Treasury bill rate
3-month CD rate (secondary market) 27
3-month Euro-dollar rate
U.S. Government bond rate 3/

1,260
-906
9.13
9.74
6.50
7.70
11.51
6.32

1 ,522
1,361
1,257
-1,224
'-1,154
-1,007
9.20
9.04
7.95
9.79
9.55
8.21
6.16
6.21
6.04
7.47
7.51
7.00
10.28
10.48
8.77
6.40
6.29
5.97

678
-368
6.18
6.30
5.69
6.14
6.79
5.45

718
-410
6.06
6. 34
5.73
6.18
6.99
5.54

Reserve Aggregates ($ bil., SA) 4/
. Total reserves
Nonborrowed reserves
Required reserves

„ „

27.8
26.5
27.4

27.9
26.4
27.5

Week ended
June 4
May 28

27.8
26.4
27.5

27.8
26.6
27.5

4 weeks ended
June 4
May 7

26.4
25.7

26.1

Week ended
June 5

26.3
25.6

26.,0

4 wks. ended
June 5

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

291.1
195.0
199.6
4.4

292.7
195.8

200.0
5.4

292.9
195.7

200.0
5.6

293.1
194.6
2,00.5
,
6.3

278.2
187.7

188.0
3.2

277.5
186.8 ,
187.8
3.3

- N o t seasonally adjusted.
'
SA - Seasonally adjusted.
Unweighted average rates on loans posted by major New York City banks.l
Average of 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.