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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.