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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




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