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/ / - FEDERAL RESERVE statistical release H.9 (511) For Immediate Release May 30, 1980 WEEKLY SUMMARY OF BANKING AND CREDIT MEASURES Averages of daily figures Levels Week ended 4 weeks ended May 28 May 21 May 28 April 30 Millions of dollars, seasonally adjusted Reserve aggregates 1 Total reserves INanborrowed reserves Required reserves Monetary base2 44,387 43,264 44,380 158,836 44,803 43,964 44,550 158,696 44,376 43,298 44,225 158,356 44,970 42,500 44,701 157,997 Reserve aggregates (adjusted) 3 Total reserves Nonborrowed reserves Required reserves Monetary base 2 43,038 41,915 43,031 157,487 43,736 42,897 43,483 157,628 43,307 42,229 43,156 157,287 43,397 40,926 43,127 156,424 Week ended Monetary aggregates M-1A (Currency plus demand deposits) M-1B (M-1A plus other checkable deposits) S T r S t 1 May 21p May 14p May 21p April 23 Billions of dollars, seasonally adjusted 370.5 388.0 369.7 387.0 369.2 386.6 371.8 389.8 Week ended 4 weeks ended May 28 May 21 May 28 I April 30 Not seasonally adjusted Other reserve measures and interest rates Member bank borrowings ($ mil.) Includes seasonal borrowings of: Federal funds rate 3-month Treasury bill rate 90 day dealer placed commercial paper4 3-month CD rate (secondary market) 3-month Eurodollar rate U.S. Government bond rate5 3 4 weeks ended 1123 29 9.46 7.67 8.22 8.60 9.78 10.32 0 839 41 10.71 8.58 9.43 9.72 11.09 10.59 1078 68 11.00 8.61 9.53 9.86 11.25 10.43 """"" d " C O n "" U i , l e S • s s ~ i " e d Percent change Average of 4 weeks ended May 28, 1980 from 4 weeks averages 13 weeks 26 weeks 52 weeks previous previous previous Seasonally adjusted annual rates 2.3 3.6 6.0 7.1 7.9 8.2 2.7 4.1 6.0 5.2 6.5 8.2 Average of 4 weeks ended May 21, 1980 from 4 weeks averages 13 weeks 26 weeks 52 weeks previous previous previous Seasonal y adjusted annual rates -7.2 -5.9 -0.3 0.7 3.6 4.6 2470 156 17.52 13.10 15.71 16.04 17.61 11.35 " » * " • — » r w l ™ ™ * , and =h„g«,m 4 On May 21, 1980 bank-related commercial paper outstanding was $ 22,885 million 5 Yield at 20-year constant maturity. Source: U.S. Treasury. NOTE: All percentage changes are at seasonally adjusted annual rates, not compounded "eek,o™"k "°"=v««"»<««• »»<->