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FEDERAL RESERVE statistical release •rfSfS?-* IJi 1.9 (lev. 9/77) Week ended June 14 I June •onborrowad reserves lequired reserves 38.14 37.35 38.01 4 Wteks ended Jung 14 I May 17 (9 B i l . , SA) 37.13 36.49 37.07 Week ended" Jimp 7 I Mayl IL (Currency plus demand deposits) £ (H- plua time deposits a t commercial banks other than large time CD's) Time deposits, a l l commercial banks U.S. Government demand deposits, member banks Qther Reserve Measures & I n t e r e s t Rates Member bank borrowings ($ mil.) Includes seasonal borrowings o f : Federal funds r a t e 3~month Treasury b i l l r a t e 90-119 day dealer placed commercial paper 2/ 3-month CD r a t e (secondary market) 3/ 90-day CD r a t e (primary offering) 47 3-month Euro-dollar r a t e U.S. Government bond r a t e 5/ 349.7 837.4 575.1 37.44 36.55 37.21 37.17 35.91 37.06 4 Vfeeks ended June 7 %Y 10 347.8 347.0 9 Bile, SA) Monetary Aggregates 349.7 837.3 575.3 2.9 2.6 Week ended 834.5 574.1 2.7 830.2 568.3 3.0 4 Weeks ended .Tune 141 Tim a T" Jimp 141 May 17 794 646 111 7.47 885 109 7.44 6.57 7.30 7.56 7.44 7.99 8.48 106 7.49 6.63 7.54 7.71 7.59 8.09 8.47 (NSA) 6.61 7.34 7.54 7.35 8.00 8.48 June 15, 1978 Eeg cent Change (Seasonally Adjusted Annual Rates) Levels l£enw_AgireeE£S2r / Total m i n u For Immediate Release WEEKLY SUMMARY OF BANKING AND CREDIT MEASURES (Average* of daily figures) 1257 68 7.23 6.32 6.95 7.28 7.09 7.66 8.40 from 4 week averages 19 Average of 4 weeks ended June 14, 1978 13 weeks previous (26 weeks previous | 52 weeks previous 8.7 3.1 8.4 8.2 8.0 8.0 8.0 7.7 6.2 Average of 4 weeks ended j u n e 7. 1978 from 4 waeks averages" 13 weeks previous | 26 weeks previous | 52 weeks previous 10.1 8.3 11.1 7.6 7.4 12.0 7.7 8.3 12.4 r.-j :::::::: •••••••••••««» NSA—not seasonally adjusted SA—seasonally adjusted j j Includes required reserves against Eurodollar borrowings and bank-related commercial paper. Reserve aggregates r e f l e c t changes i n Regulation D. f a r cant annual r a t e s of growth f o r required reserves and other reserve aggregates have been adjusted to remove the e f f e c t of these s t r u c t u r a l changes. 3J 0* June 7, 1978 bank-related commercial paper amounted to 11,489 million. 2 / Simple average of o f f e r i n g r a t e s of negotiable c e r t i f i c a t e s of deposit with 3-month maturity i n secondary market. 4/ Posted ranges " t h e annual i n t e r e s t r a t e s most o f t e n queted on new offerings of negotiable c e r t i f i c a t e s of deposit i n denominations of $100,000 or more. J / Yield at 20-year constant maturity. Source; U.S. Treasury VOTE: All percentage changes are at seasonally adjusted annual r a t e s , not compounded. 1 ::::::::::::