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FEDERAL R E SrE R V E statistical release W E E K L Y S U M M A R Y OF BANKING A N D C R E D I T M E A S U R E S (Aver.ages of daily f i g u r e s ) (Rev. 4 / 7 2 ) For I m m e d i a t e R e l e a s e M a y 9, 1975 = W e e k ended Reserve A g g r e g a t e s t-MaiL-L, 1/ Total reserves Nonborrowed r e s e r v e s Required r e s e r v e s R e s e r v e s A v a i l a b l e to Support Pvt. N o n b a n k Deposits 4 Wka . ended 35.30 35.06 35.10 33,09 35.18 35.07 34.94 33.13 *3.13 3! W e e k ended Monetary Aggregates Mj >. (Currency plus dfemand deposits') C M ! Plus time d e p o s i t s at c o m m e r c i a l banks other than large time C D ' s ) A d j u s t e d credit proxy — ' Time deposits,' all c o m m e r c i a l banks U . S . Government demand d e p o s i t s , m e m b e r banks A p r . 30 Member bank b o r r o w i n g s mil.) Includes s e a s o n a l b o r r o w i n g s of: 34.82 34.72 34.68 33.02 W S d e d t n *l? o — I A p r H E ? I A p r . 30 | Apr . 2 30 7 $ Bil., S A ) 287.3 287.4 287.8 287.3 631.5 498.2 431.5 1.9 631.0 498.6 431.4 1.4 631.3 499.9 431.8 2.3 499.1 430.7 W e e k ended Other Reserve M e a s u r e s & Interest R a t e s Apr. 9 " T A p r , in May 7 ($ Bil,, S A ) 35.08 35.05 34.99 33.04 3 Mav 7 . Fedeiral funds rate 33 10 5,.42 3-month T r e a s u r y bill rate 90-119 d a y dealer placed commercial paper rate 3-month CD rate (secondary m a r k e t ) V 3-month E u r o - d o l l a r rate • U.S. Government bond rafte 5/ 5.,41 5..98 -6.,04 6.,69 8.,30 1 A p ~ 30 241 6 . 5.,71 x Cvppr „ tr e c t ce d a Copy... u?py , —P3E<?9nt C h a n g e — ( S e a s o n a l l y Af))nst-pH Annual A v e r a g e of 4 W e e k s E n d e d M a v 7. 1975 13 weeks previous | 26 w e e k s previous c -7.2 -4.5 c -7.9 c -3.7 = r from 4 W e e k A v e T 6 I : :— 52 w e e k s previous ° 4 Wks. ended • 115 7 5.53 M)1 T » • 5.,60 6.,08 6..15 6..93 8.,42 • 5.45 5.53 6.09 6.20 6.86 8.36 5.55 v6.00 6:17 6.97 8.21 = o l d i n n u a l t a t e a b o f °rrOUln8S c - Corrected. £ °£ U-S- ,ese,v. b a n k a ' - « " ! l °A ° t £ " l n e r a t e a o f negotiable c e r t i f i c a t e s of d e p o s i t w i t h three m o n t h m a t u r i t y in s e c o n d a r y m a r k e t . Daily a v e r a g e yield on 20-year b o n d s . Source: U . S . T r e a s u r y . All percentage,,changes are at seasonally adjusted annual rates, not c o m p o u n d e d . 3.1 3.9 Ma v 7 (NSA) L4". cwt l -0.2 -7.8 -0.5 -1.5 A v e r a g e of 4 Weeks E n d e d A p r . 30. 1975 1 3w WPf»kn nroir(ni,o |I 26 H w e e ki 13 e e k s previous s._ prevl N S A 3 — N o t Seasonally Adjusted . . , SA-r-Seasonally Adjusted T 1/ " ' ' ^4 required r e s e r v e s against Euro-dollar b o r r o w i n g s and bank-related c o m m e r c i a l p a p e r include, ^ " ^ d e p o s l t s . : : : i from 4 W e e k Average; 52 w e e k s previous / " — a g e t e g a t e s