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FEDERAL

RESERVE

statistical

WEEKLY SUMMARY OF BANKING AND CREDIT MEASURES
(Average* of daily figures)

H.9
(Bev. 9/77)

release
For Immediate Release
March 8, 1979

frex cent Change (Seasonally Adjusted Annual Rates)
Week ended
4 Wmeks ended
Mar. 7 IfSTT 28 |Mar. 7 (Feb.
(9 Bil., SA)

Reserve Aggrepatee^
Total reeervea
Ncmborrowed reserves
Required reserves

41.28
40.26
41.12

K

(Currency plus demand deposits)
Plus time deposits at comerdal
other than large time CD's)
Time deposits, all commercial banks

Other Reserve Measures & Interest Rates
Member bank borrowings ($ mil.)
Includes seasonal borrowings of:
Federal funds rate
3-month Treasury bill rate
90-119 day dealer placed commercial paper 2/
3—month CD rate (secondary market) _3/
3-month Euro-dollar rate
U.S. Government bond rate
NSA not seasonally adjusted

*

356.5

358.2

358.8

359.2

876.0
621.9

876.7
620.9

877.1
620.4

874.8
616.5

Week ended
4 Weeks ended
Mar. 7 [Feb. 28 Mar. 7 | Feb. 7
TSSAJ
1026
1084
1025
1016
107
123
116
106
10.07
10.06
10.06
10.07
9.41
9.45
9.37
9.33
9.96
9.96
9.96
10.12
10.14
10.26
10.18
10.32
10.61
9.10

4/

from 4 week averages
| 52 weeks previous

40.21
39.13
40.05

40.82
41.55
39.80
40.53
40.61
41.29
week ended
j 4 Weeks endid
Feb. 28 1 Ffb. 2 ^ ^jeh. J p j*n n

Monetary Aggregates

Average of 4 weeks ended March 7, 1979
13 weeks previous 126 weeks previous

10.84
9.12

10.79
9.08

84—seasonally adjusted

10.89
8.97

Average of 4 weeks endeifrebruary 28» 1978 from 4 waeks averages
13 weeks previous
26 weeks previous |52 weeks previous

11.1

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^ S I M : 2-51LL.!"

° m v > t u h u eertltlctw of deposit with 3-eonth maturity In secondary market.
PerCentMe C h M 8




"

ra w

not impounded.