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# # # # # # # $ # # # F E D E R A L R E S E R V E statistical release For Immediate Release WEEKLY SUMMARY OF BANKING AND CREDIT MEASURES (Averages of daily figures) September 13, 1979 H.9C511) Per cent Change (Seasonally Adjusted Annual Rates) Levels 4 Weeks ended Week ended Sept. 12 1 Sept. 5 Sept. 12 I Aug. 15 ($ Bil., SA) jr Reserve Aggregate; 40.92 41.45 41.21 40.95 39.69 40.11 39.95 39.94 40.80 41.00 40.98 40.77 149.2 150.1 149.2 147.8 4 Weeks ended" Week ended Sept. 5 I Aug Sept. 5 I Aug. 29 ($ Bil . , SA) Total reserves Nonborrowed reserves Required reserves Monetary base 2/ Monetary Aggregates M (Currency plus demand deposits) (M plus time deposits at commercial banks Mother than large time CD's) Time deposits, all commercial banks Other Reserve Measures & Interest Rates Member bank borrowings ($ mil.) Includes seasonal borrowings of: Federal funds rate 3-month Treasury bill rate 90-119 day dealer placed commercial paper 3-month CD rate (secondary market) 4/ 3-month Euro-dollar rate U.S. Government bond rate 5/ NSA—not seasonally adjusted Average of 4 weeks e n d e d ^ t - 376.9 374.2 375.2 372.3 928.5 638.2 923.8 636.3 924.6 635.6 916.3 628.8 2.0 9.6 14.2 8.9 11.5 0.7 1.8 7.8 9.2 10.1 4 Weeks ended Week ended Sept. 12 I Sept.~ Sept. 12 I Aug. 15 INSA) 1230 153 11.30 10.43 11.59 11.84 12.61 9.19 1268 1340 173 172 11.13 11.02 9.91 9.89 11.03 10.98 11.36 11.27 12. 19 12.13 9.13 9.07 10.71 10.06 10.33 11.11 SA—seasonally adjusted 1/ 2/ I Federal Reserve banks and the vaults of commercial banks; and :j^::L:'of'i:f;rS"::er::::::: v a u l t cash of nomnember banks. : : : L = : i f " e : o S t T i t h \ _ ^ maturity Yield eld at 20-year zu-year constant const-am maturity. Source:. U.S. Treasury NOTE: All percentage changes are at seasonally adjusted annual rates, not compounded. m ^ market. 1979 0.5 0.0 0.3 7.3 from 4 weeks averages 4.9