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O^ GOVf
F E D E R A L RESERVE s t a t i s t i c a l r e l e a s e
^rl^T* H6
Date
"W Currency plus
demand deposits^
Table 1
MONEY STOCK MEASURES IN BILLIONS OF DOLLARS
For Immediate Release
February 13, 1975
M; M i plus time deposits! at commercial banks
other than large CD's*'
M j plus deposits at nonbank
thrift institutionsy
M,
Currency plus demand deposits1'
M L Mt plus, time deposits at commercial banks
other than large CD's*'
M,
M; plus deposits at nonbank
thrift institutions3'
197 A—Jan. Feb. Mar. Apr. May June July Aug. Sept. Oct. Nov. Dec.
1975—Jan. p
Week Ending: 1974—Dec. 18
25
270. 273. 275. 276. 277, 279. 280. 280. 280.8 281. 283, 283.8
281.6
283.A r 282.7
1975—Jan. 1 8 15 22 29
P P P-P
Feb. 5 p
283. 281. 281. 282.0 280.9
,7 ,5 ,6
Seasonally Adjusted
575.5 580.8 585 589 591 596 599 602 603.6 607.8 612.6 613.9
.5 ,4 ,5 .7 .4 ,0
615.4
r 613*7 r 613.5
281.4
v
614. 614. 615. 616.0 615.6
,7 .0 ,7
616.1
900 907 914 920 923 929 933.4 936.6 938 9A4 951
r 954
959.0
277.8 270.2 272 278 272 277 279 277 279.0 281.2 284.8 291.7
288.7
Not Seasonally Adjusted 581.4 578.5 584.9 593.5 589.6 596.1 599.0
291.5 r 618.9 r 291.4 r 619.6
r 295.8 r 624.9 295.6 626.4 292.2 624.9
r 287.4 r 620.3 280.4 614.6
281.6
598, 600. 605, 610.8 619.0
,5 .4 ,9
621.4
615.9
905. 905. 915. 926. 922. 930.8 934. 932. 934, 941. 946,
r 958.
964.3
includes (1) demand deposits at ail commercial banks other than those due to domestic commercial banks and the u $ Government less cash items in the process of collection and F R float (2) foreign demand balances at F R Banks and
- , ^ (3) currency outside the Treasury F R Banks and vaufts of all commercial banks Includes m addition to currency and demand deposits savings deposits time deposits open account and time certificates of deposits other than negotiable time certificates of deposit issued in denominations of $100 000 or more by large weekly reporting commercial banks P
•* includes M2 plus the average of the beginning and end oT month deposits of mutual savings banks and savings and loan shares r
- P re l iminary - Revised
Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis
FEDERAL 8£$ERV£ StaUtlleal £«!«*#« M 0
Tiblt 2
MONEY STOCK MEASURES PER CENT CHANGE AT SEASONALLY ADJUSTED ANNUAL RATES
K Period
Mi
Currency plus demand deposits^
M t plus time deposits at commercial banks
other than large CD's V
M-
M2 plus deposits at nonbank
thrift institutions^
January from:
Oct, 1974 (3 months previous) July 1974 (6 months previous) Jan. 1974 (12 months previous)
-0*1 1.0 3*9
5*0 5,3 6*9
6.2 5.5 6,5
Four weeks ending: Feb, 5> from four weeks ending:
1975
Nov. 6, 1974 (13 weeks previous) Aug, 7, 1974 (26 weeks previous) Feb. 6, 1974 (52 weeks previous
•0.6 0.8 3.9
4*7 5.2 6.9
y
V
y Note
includes (1 > demand deposits at at) commercial banks other than those due to domestic commercial bahfcs ftrtd We U,S G&vetnment less cash items in the process of collection and F R float
(2) foreign demand balances at F R Banks and (3) currency outside the Treasury F R Banks and vaults of all commercial baftks
includes m addition to currency and demand deposits savmgB deposits time deposits Open fleg0Uffl IIHdltime dertlflcat|s of deposits other than negotiable time certificates of deposit issued in denominations of $100 000 or more by large weekly r#pMrl§ commercial banks mdudes u2 plus the average ol the beginning and end of month deposits of mutual ftftvlft^l b&ftk* and iavffigi and loan Bhares>
AH rate<j of change are based on datty average data, rates of change are not compounded
p * Preliminary r - Revised Digitized for FRASER
http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis
FEDERAL RESERVE Statistical Release H.6 fable I
COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS SEASONALLY ADJUSTED, IN BILLIONS OF DOLLARS
%
Currency Demand deposits
T|ime and livings deposit!
Da»p Currency Demand deposits CD's^ Other Total Nonbank
[ thrift institutions ^
1974~-Jan. 62.0 208.9 66.4 304,6 371.0 325.2
Feb. 62.7 ! 210.4 68.2 307.7 375.9 326.9 Mar. 63.3 211.9 68,0 310.3 378.3 329.5 Apr. 63.9 212.8 73.9 312.7 386.7 331.1 May 64.3 213.2 j 78.5 314.0 392.5 331.5 June 64.6 j 215.0 81.3 317.0 1 398.4 332.7 July 64.8 215.4 j 83.6 319.2 | 402.8 334.0 Aug. 65,4 215,1 83,8 321.5 405.3 334.5 Sept. 65.8 215.0 84.8 322.8 407.6 335,3 Oct. 66.4 215.3 86.2 326.1 412.3 336.6
67.3 1 216.0 1 85.5 329.3 414.9 338.5 Dec. 67.7 ; 216.1 90.3 330.1 420.4 r 340.9
1975—Jan. p 67.9 213.7 92.9 333,. 8 426.8 343.6
Week Ending: 1974—Dec. 18 67.8 215.6 90.2 r 330.3 r 420.5
25 67.7 r 215.0 ! 91.7 r 330.8 r 422.5
1975—Jan. 1 j 67.7 r 216.0 93.1 r 331.0 r 424.0 8 p 67.8^ 213.7 93.3 332.5 425.8
15 p 67.9 213.7 92.9 r 334.1 42^.0 22 p ' 68.2 r 213.7 r 92.7 334.1 426.7 j 29 p 68.3 212.6 92.8 r 334.7 427.6
Feb. 5 P 68.2 213.2 93.1 334.8 427.9
)n_ lodes npg<- iatjle time certificates of deposit issued m denominations of $100 000 or more by large weekly reporting commercial banks a * zyp of IQI fining and end of month deposits at mutual savings banks and savings and loans shares
p - Preliminary r - Revised
Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis
FEDERAL RESERVE Statistical Release H 6
COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS NOT SEASONALLY ADJUSTED. IN BILLIONS OF DOLLARS
Currency
| Demand deposits ] Time and savings deposit | Nunbank 1
thrift inslilutions'1 1
Date Currency Total '-' Member Domestic nonmernber -f\ CD's 2/ Other Total
Nunbank 1 thrift
inslilutions'1 1
U S Gov't demand '•'
197 A—Jan. 61.6 216.2 156.4 56.9 | 65.8 303.6 369.4 324.5 8..1 Feb. 61.9 208.3 151.1 54.6 66.1 308.3 374.3 326.9 6.6 Mar. 62.7 209.8 152.4 54.7 66.7 312.4 379.1 330.8 6.4 Apr. 63.5 214.7 155.8 56.2 71.8 315.3 387.1 333.2 6.0 May 64.1 208.7 151.3 54.8 77.2 316.7 393.9 333.0 7.6 June 64.8 213.1 153.6 56.1. 79.6 318.3 397.9 334.7 6.1 July ! 65.3 214.4 154.4 56.5 i .82.8 319.2 402.0 335.6 5.4 Aug. 65.7 211.6 152.4 56.2 1 87.1 321.2 408.3 .334.2 4 .0 Sept. 65,8 213.2 153.5 56.8 88.7 321.4 410.2 334.1 5.4 Oct. 66.4 214.8 154.6 57.4 88.8 324.7 413.5 ! 335.2 3.7 Nov. 67.8 217.1 156.0 58.0 87.1 325.9 413.0 336.2 3.3 Dec. 68.9 222.8 r 160.4 59.4 90.5 327.3 r 417.8 r 339.1 r 4.7
1975—Jan. P 67.5 221.2 158.8 59.4 92 .1 332.7 424.8 343.0 3.9
Week Ending 1974—Dec.
> 18 69.0 r 222.5 160.0 r 59.5 90.4 r 327.3 r 417.7 4.7 25 69.5 r 221.9 r 159.7 59.2 91.7 t 328.3 r 420.0 r 6 .1
1975—Jan. 1 68 .1 r 227.7 r 164.4 60.3 92.7 r 329.1 t 421.8 5.5 8 p 68.4 227.2 163.1 61 .2 92 .8 r 330.8 423.7 4 .4
15 p 67.8 224.3 160.8 60.5 t 92 .3 r 332.7 425.0 3.1 22 p 67.4 r 219.9 r 157.9 59 .2 t 91.9 r 332,9 424.8 3.6 29 p 66.7 213.7 153.7 57 .1 91.7 334.2 425.9 4.4
Feb. 5 P 67.3 214.3 154.0 57 .3 i i "i ii
91.0 I'n i
334.3 425.3 4 .2
I / Total deposits include, in addition to the member and domestic nonmernber deposits shown, depfflt* duo to foreign and intejnationat Institutions
at F H Hanks and M] type balances at agencies and branches of foreign banks
2 / Utised on most rucunt call icport single day observations
3/ includes negotiable time certificntos..of deports issued in denominations of 5100,000 or morn by targe weekly reporting commercial banks.
4 / Average of beginning and end of month deposits at mutuul savings banks and savings and loan shares
5 / U S Government demand dnoosits fit all cnmmcrcifil banks R e V ? / 7 4 Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis