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WEhKLY SUMMARY OF RANKING AND CREDIT MEASURES
(Averages of daily figur.es)

l e a s

e

Immediate Release
November 4, 1976
Chanug (Seasonally Adjusted An

Week ended

Total reserve
Nonborrowed rescr
Required

($ Bil.. SA)
34.90
34.71
34.47

34.37
34.25
34.22

34.52 "
34.42
34.30

Week ended
Monetary ARare gates
(Currency; plus demand deposits)
M: (M plus time
ommerc ia1 banks
other than large, ti
)
Adjusted credit proxy 2J
deposits, all commercial
U.S. Government demand deoos
member bank
Other Reser

Average of U Week
13 weeks prev
34.42
34.35
34.21

4 Wks . ended
($ Bil., SA)

310.4

308.6

* 310.0

306.1

" -7
724.3
529.6
525.2
478.6"
477.7
3.5
" 4.0
Week ended

725.4

716.2
523.2
472.5
4.1

72 7

Oct. 27

Week Average

Average of 4 Weeks Ended Oct
13 weeks preEv
26 weeks pre

from 4 Week Averages
52 weeks previous

(NSA)

Member bank borrowings ($ mil.)
Includes seasonal borrowings
Federal fund
h Treasury bill
90-119 day dealer placed commercial paper
3-month CD rate (secondary market). 4/
90-day CD rate (primary offering) 5/
3-month Euro-doll;
U.S. Government bond rate 6/
--Not Seasonally A d j u ~

,u,usLuu.
SA--Seasonally \d
justed
Includes required reserves againSt Euro-dollar borrowings and bank-related commercial paper. Reserve aggregates" reflect changes in Regulation D.
er cent annua rates of growth for required reserves and other reserve aggregates have been adjusted to remove the effect of these structural changes.

I

oToctiuTh"I™

4-LT Y l e l d a t 2 0 - y e a r constant maturity. Source: U.S. Treasury.
NOTE: All percentage changes are at seasonally adjusted annual rates, not compounded.




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