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1Z.-e.JC6rcK b<b. V>
.•oo£25*VF

E

D

E

R

A

L

R

E

S

E

R

V

E

Levels

Total reserves
Nonborrowed reserves
Required reserves

38.18
38.29
38.55
38.26
37.55
37.60
37.20
37.27
37.79
37.90
38.40
37.94
Week ended
4 Weeks ended
Nov. 8 |Nov. 1
Nov. 8 |Oct. 11
19 Bil., SA)

Monetary Aggregates

%

(Currency plus demand deposits)
(M^ plus time deposits at commercial banks
other than large time CD's)
Time deposits, all commercial banks

l

November 16, 1978

Average of 4 weeks ended November 15 * 1978from 4 week averages
13 weeks previous j 26 weeks previous
j 52 weeks previous '
3.6
5.8
1.9

5.9
6.5
7.6
6.7
4.8
6.4
Average of 4 weeks ended November 8,
13 weeks previous
| 26 weeks previous |52 weeks previous

197FT£Z£~T~v zeks

362.1

361.0

361.6

361.9

7.9

6.6

7.7

870.5
602.4

868.1
598.9

868.3
597.2

865.2
590.8

9.5
11.4

8.6
10.4

8.2
11.7

Week ended
4 Weeks ended
Nov. 15 I Nov. 8 Nov. 15 1 Oct. 18
Other Reserve Measures & Interest Rates
(NSA)
Member bank borrowings ($ mil.)
632
698
989
1333
Includes seasonal borrowings of:
189
190
212
212
Federal funds rate
9.68
9.50
9.77
8.74
3-month Treasury bill rate
8.38
8.85
8.31
8.04
90119 day dealer placed commercial paper 2/
10.24
10.01
9.67
8.74
3-month CD rate (secondary market) 3/
10.84
10.77
10.34
9.05
90-day CD rate (primary offering) 4/
10.25
10.00
9.87
8.98
3-month Euro-dollar rate
11.70
11.44
11.13
9.66
U.S. Government bond rate 5/
8.76
8.78
8.76
8.63
NSA—not seasonally adjusted
SA—seasonally adjusted
—
bank-related commercial paper amounted to 14232 million.


MOTS:
http://fraser.stlouisfed.org/
" m p * r c e n t a «" < * « * « « • «
Federal Reserve Bank of St. Louis

For Immediate Release

fcer cent Change (Seasonally Adjusted Annual Rates)T

Week ended
4 Weeks ended
Nov. 15 I Nov. 8 I Nov. 15 I Oct. 18
($ Bil., SA)

Reserve Aggregates^

On November 8, 1978

r e l e a s e

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

H.9
(lev. 9/77)

11

statistical

seasonally adjusted annual rates, not compounded.