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F E D E R A L

R E S E R V E

A-.-,

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

Reserve Aggregates 1/
Total reserves
Nonborrowed reserves
Required reserves
Reserves Available to Support Pvt. Nonbank Depositc

Monetary Aggregates
(Currency plus demand deposits) Revised Series
Mj, (H1 plus time deposits at commercial banks
other than large time CD's)
Revised Series
Adjusted credit proxy 2/
Time deposits, all commercial banks Revised Series
U'S. Government demand deposits, member banks
*
Other Reserve Measures & Interest Rates

34.33
33.94
34.30
32.63

295.3

295.1

656.5
655.9
506.3
504.0
- 439.1
437.7
4.2
3.6
Week ended
1
Sept. 17 1 Sept. lfi

I

1 A

Z

™",c

tuc Bltecc

34.71
34.51
34.54
32.83

-0.2
-2.8
—0.6 •
-1.3

-1.0
-2.1
-1.2

-1.4

-0.9

-1.3

8.1
-1.6

u^iri^T i l r u x - j u r

7.00

a*—seasonal!

cnese structural changes. . m

Ad

usted

—v^v^wws^yyyyyyvvvs^

-

n

—

a

n

a

ocner reserve aggr

of U.S. banks, and certain nondapoalt I t a ™ .
°f

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«- secondary m a r k a ,

NQmi_ All Percentage changes are at seasonally adjusted annur: L t e c , not compounded.




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293.

^September
P

i T w e ^ r l L ^

655.3
651.'
504.4
504.
437.7
438.
3.4
4 Wks. ended

Member bank borrowings ($ mil.)
Includes seasonal borrowings of:
Federal funds rate
3-month Treasury bill rate
90-119 day dealer placed commercial paper rate 3/
3-month CD rate•(secondary market) 4/
3-month Euro-dollar rate
U.S. Government band rate 5/
USA—(jot Seasonally Adjusted.

"^'^"previoas8

34.53
34.22
34.29
32.79

Week ended
> Wks. ended
Sept. 10 I Sept. 3 I Sent. 10 I A i ^ T U
(? Bil., SA)
295.4

tdlate Release
>er 18, 1975

P e m n t ; Change ^Seasonally Adji.ai-^-Unm.ni p n rpn)

Week ended
4 Wks
Sept. 17 I Sent
($ Bil.,
34.66
34.33
34.36
32.92

IHh

. t o . i . t i c ^ . i . , , ^

7

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