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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