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FEDERAL RESERVE .9,9 (Rev. 1/76) s ta ti s e Ie a s e WEEKLY SUMMARY OF SAUCING AND CREDIT MEASURES (Averages of dally figures) for Immediate Release June 17, 1976 Percent Change (Seasonally Week ended Reserve Aggregates 1/ " Total reserves Notiborrowed reserves Required reserves Reserves Available to Support Pvt. Nonbank Deposits Mj (Currency plus demand deposits) **2 Plus time 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 303.9 Member bank borrowings ($ mil.) Includes seasonal borrowings of: Federal funds rate 3-month Treasury bill rate 90-119 day dealer placed commercial paper rgte 3rmonth CD rate (secondary market) 4/ 90-day CD rate (primary offering) 5/ . 3-month Euro-dollar rate U.S. Government bond rate 6/ A--Not S e c o n a l l y Adjusted. June 9, 1976 ^ 33.97 33.87 34.01 31.63 34.15 34.03 33.89 31.98 34.20 34.13 34.01 32.01 4 Wks. endfed ' 1 June 2 June 9 I Mav 1? nil OA ' * ($ Bil., SA)V 304.1 303.5 i Average of « Weeks Ended June 16. 1976 from 4 Week Averages J 13 weeks previous I it 26 weeks I 52 weeks previous i-- previous 1.9 ' 1.0 3.8 -2.9 -3.4 -3.1 -2.2 Average of 4 Weeks Ended June 9. 1976 13 weeks previous I 26 weeks previous -0.3 -0.4 -0.5 -0.8 from 4 Week Averages | 52 weeks previous~ 303.1 700.6 699.6 521.4 516.3 466.3 464.2 4.5 2.8 Week ended June 16 Other Reserve Measures & Interest Raten On 34.49 34.44 33.86 32.44 June 9 Monetary Aggregates 1 4 Wks. ended I June 9 I June 16 1 Mav~19 ($ Bil., SA) — 16 3/ • 5.47 5.40 5.90 5.82 5.75 6.19 8.02 698.8 ,694.8 517; 5 516.7 463.7 461.2 3.2 2.3 4 Wks. ended 1 June.9 I June 16 I May 19 (NSA) 93 12 5.44 5.46 5.88 5.93 5.75 6.35 8.06 130 14 5..49 5.,46 5<,82 5. 89 5. 72 6. 37 8. 10 65 10 5..07 5.,00 5.. 20 ' 5..28 5,,22 5.,63 8..04 borrowings of U . S . banks, and certain nondeposit items. . , of $iro 000or