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\s_Js4 a LKS t ic a I

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

r e Ie a s e

cTEER

For Immediate Release

M il0te

May 4, 1972

Percent Change fqeasnnal 1y

May 3
Reserve Aggregates !_/
Total reserves
Nonborrowed reserves
Required reserves

32.6
32.4
32.4

4 Wks
1 April 26
May 3
($ Bil., SA)
32 .9
32 .6
32 .5

Week ended
April 26 | Apr
Monetary Aggregates
M. (Currency plus demand deposits)
M
(M, plus time deposits at commercial banks)
other than large time CD's)
Adjusted credit proxy 2/
Time deposits, all commercial banks
U.S. Government demand deposits, member banks

235 .2.

32 .7
32 .5
32.5

3nded
I April 5
32 .2
32.1
32 .0

4 Wks . ended
I April 26
($ Bil. , SA)

234 .6

483 .5
482 .5
376 .7
375 .3
283 .8
282 .9
6 .3
6 .4
Week ended
1 April 26

235 .0

I March 29

Average of 4 Weeks Ended May 3, 1972
13 weeks previous
1 26 weeks previous

11 .2
11.0
11.9

Average of 4 Weeks Ended April 26, 1972 from 4 Week Averages
| 26 weeks previous
| 52 weeks previous
13 weeks previous

2 33,.4

4,82.8
375.9

4.79 .8
372 .1
282.4
279 .7
6 .3
7A
Wks. ended
Apr:]

4 .20

4.60

K5A—toot Seasonally Adjusted.
—
"
:
SA-Seasonally Adjustea.
1/ Includes required reserves against Euro-dollar borrowings and bank-related commercial paper.
banks, and certain other nondeposit
2/ Includes member bank deposits, bank-related commercial paper, Euro-dollar borrowings of U.S.
"J
on
April 26
bank-related' commercial paper amounted to $ 2,176 million.
4/ A v I r a g e % ^ % c e ^ o f ^ o f f e r i n r r a t e s on negotiable certificates of deposit with 3-month maturity in secondary market.
~~
Daily average yield on 20-,year bonds. Source: U.S. Treasury .
NOTE: All percentage changes are at seasonally adjusted annual rates, not compounded.




from 4 Week Averages
1 52 weeks previous

11.7
13.7
1.2.0

Other Reserve Measures & Interest Rates
Member bank borrowings ($ mil.)
Free or net borrowed ( - ) reserves ($ mil.)
Federal funds rate
3-month Treasury bill rate
90-119 day dealer placed commercial paper rate 3/
3-month CD rate (secondary market) 4/
3-month Euro-dollar rate
U.S. Government bond rate 57

Annual Rarest-