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FEDERAL

RESERVE

s t a t i s t i c a l

I

H49
(Rev. 6 / 7 0 )

WEEKLY SUMMARY OF(BANKING AND CREDIT MEASURES
(Averages
daily figures)
Week ended
S e p t . 23

Sept.

r e l e a s e .

For immediate r e l e a s e
September 24, 1970.

4 weeks ended
16

Sept.

23

Aug. 26

!

Year-ago data
Week ended 4 wks . ended
S e p t . 24
S e p t . 24

M a r g i n a l R e s e r v e Measures & I n t e r e s t R a t e s (NSA)
Member bank borrowings ($ m i l . )
Free or n e t borrowed ( - ) r e s e r v e s ($ m i l . )
F e d e r a l funds r a t e
Dealer loan r a t e 1/
3-month Treasury b i l l r a t e
3-month CD r a t e ( s e c o n d a r y market) 2 /
3-month E u r o - d o l l a r r a t e
U . S . Government bond r a t e 3/
R e s e r v e A g g r e g a t e s ($ b i l . ,

SA)

,

500
-235
6.46
7.23
6.33
7.48
8.10
6.95

595
-437
6.35
7 .13
6.24
7 .47
7 .99
6.93

881
-707
6.68
7.34
6.43
7.83
8.23
7.07 •

1,106
-902
9.61
9.91
7.13
8.71
10.68
6.60

1,026
-744
9.21
9.62
7.09
8.42
11.12
6.47

i;
;
1
%
f
D

4/

Total reserves
Nonborrowed r e s e r v e s
Required r e s e r v e s

28.7
28.4
29.0

29.4
28.9
29.1

9

. 29.1
28.6
29.0

28.5
27.7
28.3

4 weeks ended
S e p t . 16
Aug. 19

27.2
26. 2
27.0
Week ended
S e p t . 17

27.3
26.4
27.1

!:
>

i

I

Week ended
S e p t . 16„ S e p t .

!
Monetary A g g r e g a t e s

458
-638
5.84
6.80
5.93
7.39
7.96
6.78

Sept.

17

($ b i l . „ SA)

T o t a l member bank d e p o s i t s
T o t a l member bank d e p o s i t s p l u s n o n d e p o s i t i t e m s 5 /
Money s u p p l y ( c u r r e n c y & demand d e p o s i t components)
Time d e p o s i t s , a l l commercial banks
U . S . Government demand d e p o s i t s , member banks
NSA
iy
2/
3/
4/
7/
Digitized

308.3
325.0
207.1
216.6
6.0

307.2
324.3
205.8
215.4
7.1

307.0
324.6
206.3
214.6
6.9

300.9
320.0
205.4
210.5
5.6

287.1
305.7
199.6
194.2
5.2

285.4
304.0
199.3
194.0
3.4

- Not s e a s o n a l l y a d j u s t e d .
SA - S e a s o n a l l y a d j u s t e d .
Unweighted average r a t e s on l o a n s p o s t e d by major New York C i t y banks.
Average of range of o f f e r i n g r a t e s on n e g o t i a b l e c e r t i f i c a t e s of d e p o s i t w i t h 3-month m a t u r i t y in second market.
D a i l y average y i e l d on 2 0 - y e a r bonds.
I n c l u d e s , i n c r e a s e d in r e q u i r e d r e s e r v e s due to changes in R e g u l a t i o n s M and D, e f f e c t i v e October 16, 1969.
Sometimes
r e f e r r e d t o as the " a d j u s t e d c r e d i t proxy".
I n c l u d e s member bank d e p o s i t s , b a n k - r e l a t e d commercial
for
FRASER
paper E u r o - d o l l a r borrowings of U.S. banks, and c e r t a i n o t h e r n o n d e p o s i t s o u r c e s . On S e p t . 16 b a n k - r e l a t e d
http://fraser.stlouisfed.org/
commercial paper amounted t o $ 5 , 2 0 9 m i l l i o n .

Federal Reserve Bank of St. Louis

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