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S ^ E R . V i f e ,

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

Rev. 1/76)

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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

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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 .

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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

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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.




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