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f e d e r a l

11 . 9,
(Rev. 6/70)

r e s e r v e

s, t g t i s t i c a

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

Week ended

Marginal Reserve Measures & Interest Rates

($ bil.. SA^

Nov. 3

122
-103

215
198

For immediate re leas
November 11, 1971

,4 weeks ended

(NSA)

Member bank borrowings ($ mil.)
Free or net borrowed ( - ) reserves ($ mil.)
Federal funds rate
Dealer loan rate _1/
3-month Treasury, bill rate
3-month CD rate (secondary market) 2/
3-month Euro-dollar rate
~~
U.S. Government bond rate
3/
Reserve Aggregates

Nov. 10

4.93
5.24
4.17
4.91
5.98
5.81

5.16
5.41
4.27
4.99 '
5.99
5.84

31.4
31.3
31.4

31.7
31.5
31.3

Week ended
Nov . 3
Oct. 27.

271
-99
5.09
5.34
4.33
'5.09
6.17
5 .87

378
-262
5.38
5.69
4.63
5.56
7.62
6.01

445
-163
5.80
6,44
5.49
6.48
7.53
6.74

472
-227
6.04
6.54
5. 73

31.5
31.3
3#.4

31.8
31.5
31.7

29.4
29.0
29.2

29.4
28.9
29.1

4 weeks ended
Nov . 3
Oct. 6

Monetary Aggregates ($ bil.. SA)
Total member bank deposits
Total member bank deposits plus nondeposit items 5/
Money supply (currency & demand deposit components)
Time deposits, all commercial banks
U.S. Government demand deposits, member banks

1/
2/

I;

Year-ago data
Week ended 4 w k s . ende
Nov. 11
Nov. 11

6. 61
7.63
6.87

4/

Total reserves
Nonborrowed reserves
Required reserves

NSA - Not seasonally adjusted.

r e T e a

352 .8
357 .8
226.6
265 .5

6.2

350.6
355.7
227.2
265.5
5.2

350.5
355 .5
226.7
265 .3
4.8

349.2
353.3
227.0
?<2.4
5.7

Week ended 4 wks . ende
Nov . 4
Nov . 4
312.3
325.5
212.7
223.4

6.2

310.9
324.7
212.9

222.8
5.3

SA - Seasonally adjusted.
Unweighted average rates on loans posted by major New York City banks.

Average of range of offering rates on negotiable certificates of deposit with 3-month maturity in secondary market.
Daily average yield on 20-year bonds.
Includes required reserves against Euro-dollar borrowings and bank-related commercial paper.