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FEDERAL RESERVE statistical release For immediate release October 10, 1980 H.9 (511) WEEKLY SUMMARY OF BANKING AND CREDIT MEASURES Averages of daily figures Percent change Average of 4 weeks ended October 8, 1980 from 4 weeks averages 52 weeks 26 weeks 13 weeks previous previous previous Seasonally adjusted annual rates Levels Week ended 4 weeks ended Sept. 10 Oct. 8 Oct. 1 Oct. 8 Millions of dollars, seasonally adjusted Reserve aggregates1 Total reserves Nonborrowed reserves Required reserves Monetary base 2 41,599 40,351 41,137 159,900 41,912 40,039 41,534 160,727 41,667 40,176 41,367 159,982 41,154 40,408 40,872 158,701 Reserve aggregates (adjusted) 3 Total reserves Nonborrowed reserves Required reserves Monetary base 2 41,573 40,325 41,111 159,874 41,887 40,014 41,509 160,703 41,640 40,149 41,340 159,955 41,125 40,378 40,842 158,671 Week ended Oct. lp Sept. 24p 14.5 2.8 Sept. 3p Billions of dollars, seasonally adjusted Monetary aggregates M-1A (Currency plus demand deposits) M-1B (M-1A plus other checkable deposits) Other reserve measures and interest rates Member bank borrowings ($ mil.) Includes seasonal borrowings of: Federal funds rate 3-month Treasury bill rate 90 day dealer placed commercial paper* 3-month CD rate (secondary market) 3-month Eurodollar rate U.S. Government bond rate5 379.8 401.8 4 weeks ended Week ended Oct. 8 Oct 1 Oct. 8 Not seasonally adjusted 383.6 BBBMB 606.6 1248 48 12.59 11.34 12.18 12.52 13.03 11.55 1873 40 12.38 11.05 12.12 12.35 13.25 11.90 1491 35 11.62 10.73 11.53 11.84 12.55 11.61 747 13 10.02 9.67 10.18 10.50 11.39 11.21 : • • • ! = 5 Y i e l d at 20-year constant maturity. Source: U.S. Treasury. 6.8 6.4 6.8 14.5 9.0 8.2 11.6 Average of 4 weeks ended October 1, 1980 from 4 weeks averages 52 weeks 26 weeks 13 weeks previous | pirevious previous Seasonal adjusted annual rates 4 weeks ended Oct. lp 7.6 13.8 7.0 M