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FEDERAL

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WEEKLY 8UMAKY 0F M K l R G ^ l S f CM IT WASORKS
- (Avermgef of Tlg^ly flgjg

[Rev. 4/72)

I

V
Member bank borrowings ($ m i l . )
Includes seasonal borrowings o f : „ '
Federal funds r a t e
3-month Treasury b i l l r a t e
90-119 day d e a l e r placed commercial paper pate JV
3-month CD r a t e (secondary market) !tf
3-month E u r o - d o l l a r r a t e
tN&J Government bond r a t e 1 /

» 5 « - N o t s e a s o n a u y Adjusted ,

-

| Lnc;—i1 %Ti:i zz
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N0TE:

A11

6.85
P 8.36

4.4
6.1
2.8
2.6

2.2
2.2
1.2
1.5

-0.2
3.4
-0.6
—0.6

4.7

p 8.26
^ - ^ . . o n a l l y UJu.t.,1.

borro lw o D s
£

^ «*-

Percentage changes a r e a t seasonally a d j u s t e d annual r a t e . , not compounded.




November 27, 1975

Percent Change fSmnnnalTv

Week ended
4 W&Wded
Nov. 19j Nov . 26 | % c t r
($ B i l . , SA)
Total r e s e r v e s
34.81
34.71
34.54
34.58
Nonborrowed r e s e r v e s
34.74
34.36
34.52
34.65
Required r e s e r v e s
34.52
34.62
34.27
34.39
Reserves Available to Support P v t . Nonbank Deposits
32.76
32.57
32.65
32.61
Week ended
4 Wks. ended
Nov. 19
I Nov. 12 I Nov. 19
Oct. 22
Monetary Aggregates
($ B i l . , SA)
Mj (Currency plus demand d e p o s i t s )
•
>
296.5
298.0
294.0
M ^ l p * u s t l - m e d e p o s i t s a t comriercia 1 banks
g
other than l a r g e time CD's)
665.1
665.7
662.7
657.6
Adjusted c r e d i t proxy U
513.5
513.1
511.0
507.2
Time, deposits', a l l commercial banks
449.8
448.7
448.0
I.S. Government demand d e p o s i t s , member banks
3.9
3.9
3.3
W6ek ended
Nov. 19
Oct. 29
Other Reserve Measures & I n t e r e s t Rates
Reserve Aggregates 1 7

For lamedlate Release

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