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.. .< i: Y iv H .9 I' t ^ k j < s i c , 0 ( I : i i . L (-. }' WFFKLY Sl'::L\KY OK NANKING AND CKFDIT MICASUKI-'.S ( A v e r a g e s of d a i l y f i g u r e s ) Week e n d e d V'V' May 2 0 Mil'ttlnal Reserve Measures & Interest Rates ($ b i l . . 1,182 -1,064 7.84 8.63 6 .72 8.13 '8.81 7.12 May 13 May 2 0 813 -790 .. 7.96 8.73 6.74 8:03 8.51 7.11 916 -766 8.17 8.91 6.79 7.82 8.62 7.11 969 » -811 8.21 8.95' 6.51 7.31 8.08 6.93 28.1 27.1 27.9 28.1 27.3 27.9 27.9 26.7 27.7 27^726.9 27.7 Week e n d e d M'iy 1 3 May Total ($ b i l . . 287.7 203.4 199.1 2.3 Money s u p p l y ( C u r r e n c y & demand d e p s . c o m . ) Time d e p o s i t s , a l l c o m m e r c i a l b a n k s U . S . G o v ' t , demand d e p o s i t s , member b a n k s NSA - N o t s e a s o n a l l y a d j u s t e d . . , „ . . ^ . U n w e i g h t e d a v e r a g e r a t e s on l o a n s 3/ Daily 4/ Includes r 3 t C S ^ average y i e l d increases on 2 0 - y e a r in required Digitized fors i FRASER n c e October 16, 1969. April 22 1970. . Year-ay,o data Week e n d e d \h wks . C\idie3 May 21 May 21 1,358 -1,242 8.91 9.39 6.10 7.40 9.55 6.10 313 076 8 8 C 7 , 9. 6 , posted 28.0 27.8 26.6 28.2 27.f 2C.S 4 weeks ended -May 13 A nri1 1 V SAl member b a n k d e p o s i t s mlrkete i i. iH'd i a t c r e ] (•; $<; May 2 1 , A weeks ended : c SA^> 4 / Total reserves Nonborrowed r e s e r v e s Required r e s e r v e s Monetary ARRreRates For i (NSA) Member b a n k b o r r o w i n g s ($. m i l . ) F r e e ' o r n e t b o r r o w e d ( - ) r e s e r v e s ($ m i l . ) Federal funds r a t e Dealer loan rate 1/ 3-month Treasury b i l l r a t e 3 - m o n t h CD r a t e ( s e c o n d a r y m a r k e t ) 2 / 3-month E u r o - d o l l a r r a t e '~ U . S . G o v e r n m e n t b o n d r a t e 3/ Reserve Aprrebates i i. I i . 289.0 203.8 199.1 . 3.2 289.0 • 202.9 198.8 4.1 289.6 203.9 196 .4 5.5 296.5 197 . 8 201.8. 7.3 295.5 197.3 202.0 6.8 SA - S e a s o n a l l y a d j u s t e d . by m a j o r New York C i t y b a n k s . °" " e 8 o t i a b l e c e r t i f i c a t e s of deposit with 3-month m a t u r i t y in secondary bonds. reserves due to changes i n R e g u l a t i o n s M and D o f approximately $400 m i l l i o n