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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.