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t-fcx. F E D E R A L ' 1? | S ^ E R . V i f e , s t a t i s t i c a l r WEEKLY SUMMARY OF BANKING AND CREDIT JCASURES (Averages of daily figures) Rev. 1/76) e l e a s e For Immediate Release November 12. 1976 Percent Change Reserve Angregatea""T7 4 W k s . ended ' Nov. 3 N o v . 10 |Oct. 1 3 7 ($ Bil.,»SA) " Total reserves >Nonborrowed reserves Required reserves Reserves Available to Support Pvt. Nonbank Deposits 34.49 34.44 34.43 34.91 34.71 34.47 34.64 34.53 34.45 34.31 34.24 34.12 W e e k ended 4 Wks . ended 1. Oct. 271 Nov. 3 I Oct. 6 ($ Bil.i SA) Monetary Aggregates M^ Mg (Currency plus demand deposits) (M 1 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 310.6 Other Reserve Measures & Interest Rates Member bank borrowings ($ mil.) . Includes seasonal borrowings of: Federal funds rate 4 3-month Treasury bill rate 90-119 day dealer placed commercial paper rate 3-month CD rate (secondary market) 4/ 90-day CD rate (primary offering) 5/ 3-month Euro-dollar rate ~ v , ' U.S. Government bond rate 6/ N5A--Not Seasonally Adjusted 310.4 729.3 727.7 532.1 529.6 480.0 478.6 4.0 3.5 W e e k ended Nov. 10 1 Nov. 3 3/ 51 24 4,.98 4,.87 5,,08 5,.10 5. 5:.31 '7,,74 202 30 5,.06 4,.87 5,.00 5,.08 5,.00 5,.35 7,.71 310.1 (Seasonally A d i n ^ p H Average of 4 Weeks Ended Nov. 10. 1976 13 weeks previous | 26 weeks previous 2.5 2.7 2.7 2.3 2.5 2.2 Average of 4 Weeks Ended N o v . 3. 1976 13 weeks previous | 26 weeks previous tnn„ a i B a ^ from 4 W e e k Averages 1 52 weeks previous 1.0 1.0 1.3 from 4 W e e k Averages | 52 weeks previous 307.5 726.8 719.0 529.5 525.1 478.4 474.0 3.7 3.4 4 Wkg. ended 105 29 5.,00 4,,86 5,,03 5..08 4,.98. 5,.38 7,.72 •-Seasonally 70 33 5,.18 5,.04 5,.26 5,,27 5,.16 5,.54 • 7,.71 \djusted . 1/ A/ A v e r a g e of range of offering rates of negotiable certificates of deposit w i t h three month M a t u r i t y in secondary m a r k e t . ^re r a t 6 8 " 8 interest rates most often quoted on n e w offerings of negotiable certificates of deposit.in denominations of $100,000 or £/ Yield.at 20-year constant maturity. Source: U.S. Treasury. < . NOTE: All percentage changes are at seasonally adjusted annual tates, not compounded. x /