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FEDERAL ZL2>, RESERVE s t a t i s t i c a l r e l e a s e WEEKLY SUMMAR' OF BANKING AND CREDIT ICASURES (Averages of daily figures) I K,'.R •^1 Reserve Aggregates 1/?/ ~ Mar ' Total-reserves Nonborrowed reserves Required reserves Reserves Available to Support Pvt. Nonbank Deposits 6 34.63 33.72 34.54 33.07 Mj (Currency plus demand deposits) *2 (**i P l u s time deposits at commercial banks other than large time CD's) Adjusted credit proxy 3/ Time deposits, all commercial banks U.S. Government demand deposits, member banks 272.2 580.9 454.7 375.0 # 3 = 34.90 33.64 34.66 32.94 35.00 33.82 34.81 32.89 n/'aeae 35.77 34.68 35.62 32.77 4 Wks. ended Bil., SA 274.7 272.4 453.8 374.4 Week ended Mar. 6 1 Feb. 27 Other Reserve Measures & Interest Rates March 6, 1974 F?r g g n t Change (-Seasonally ah^.c^h Ann.,ni I Feb. '27 I Mar. g ~ ($ B t U , --SA) - Week ended Monetary Aggregates For Immediate Release 11 of 4 Weeks Ended Feb. H if/4 from 4 Week Averages 13 weeks previous I 26 weeks previous weeks previous 269.2 580.0 573.3 454.6 453.8 374.2 369.7 2.9 6 4 Wks. ended Mar.6 ] Feb. 6 Member bank borrowings Includes seasonal borrowings of: Federal funds rate 3-month Treasury bill rate 90-119 day dealer placed commercial paper rate 4/ 3-month CD rate (secondary market) V . ~ 3-month Euro-dt>llar rate U.S. Government bond rate 6/ NSA-^Not Seasonally Adjusted# S A — S e a s o n a l l y Adjusted 2/ %s 6/ r i s r . y u Daily average yield on 2 0 ^ y f a " b o n d s f " s o u K e ^ V " " " ^ " " NOTE: , ° ^ dep °Slt . e l t h 3 m o n t h A l l percentage changes are at..seasonally adjusted annual rates, not compounded. i ™turlty . ln e«rtaln secondary market.