4
,ft•» I i FEDERAL RES E R V E itatUtlcol release FtDEHAL RESERVE Statistical Ralvata H.6 TiWa 1 MONEY STOCK MEASURES IN BILLIONS OF DOLLARS for Immediate Reliitt JULY iu» 1*13 Ml 1 n HUM ii M a timmmmmmtmmm Ma HT" pn r«r- r*r^. r-*r- i *4 [ Mg Currency jMt Plus Time Deposits at M 2 Plus Deposits at Nonbank Thrift institutions^ M 2 Ptus MjPlus Currency Mi Plus Time Deposits 6t M a Plus Dftpoilti at Nonbank Thrift Institutions^ M 2 Pius MjPiuj Date , Plus Commercial M 2 Plus Deposits at Nonbank Thrift institutions^ ! Large Negotiable Large Plus Commercl»l M a Plus Dftpoilti at Nonbank Thrift Institutions^ Large Negotiable Large Demand Banks M 2 Plus Deposits at Nonbank Thrift institutions^ ! Large Negotiable Negotiable ! CD»S# ! Jtemind, Deposits!/ Banks M a Plus Dftpoilti at Nonbank Thrift Institutions^ Large Negotiable Negotiable Deposits^ Other Than Large 00*5^ M 2 Plus Deposits at Nonbank Thrift institutions^ CD's*/ Negotiable ! CD»S# ! Jtemind, Deposits!/ Other than LorgoCD's^ M a Plus Dftpoilti at Nonbank Thrift Institutions^ CD's* CD'stf M*M*JptfM*H>»Maa**lM*J* Seasonally Adjusted Not Seasonally Adjuited 1974—JUN6 2B0.0 597.1 95*.8 676.4 1037a ! 218.2 596*5 957.2 676*2 1036*6 JULV 1 260.4 599*6 959.6 663*2 1043*2 260*0 599*2 960*9 661*9 104J*1 AUG. 260.» 601.9 962.6 665*7 1046*4 277.3 596*4 95B*t (63*5 1045*6 SEPT* 2B0*7 603.4 963*0 688.2 1049*9 276*9 600*3 460*6 669*0 1 1049** OCT. 1 201.6 607*6 970.7 693.6 1056.9 261*2 603*7 967*4 694*5 1056 *c NOV* 283.6 612.6 976.9 697*1 1062*5 265*1 609*6 912*6 696*6 105V.9 DEC* 764.4 613.5 981.7 703,6 1072*0 292*3 618*6 963*1 709*1 1015.3 1975—J AN. 262*2 615.5 967*0 706*3 1079.6 269*3 621*5 992*4 713*6 1084*4 FEB* 1 263.* 620*5 995.6 712.4 1087*6 260*4 617*9 993*3 707*1 1062*5 MAR* 286*1 626.4 1007.2 716*1 1097.0 283*3 625.9 1008*6 713.9 | 1096*t» AM* 287*1 630*4 1017.2 718*8 1105*6 | 288*7 634.8 1023*9 720*6 j 1109*8 HAY 1 269,7 637.3 r 1029.6 t 722.9 1113.1 264*9 635*5 1029.2 719.6 1113*3 JUNE P 294*1 647.3 1045.7 731.4 112**8 292 *2 646*8 1047*3 729.1 1129*6 MEEK ENDING! 1075—MAY T 1 266*0 633*2 719.6 264.4 632*4 714*4 14 289.0 636*0 722*3 285*2 635*1 719*5 21 269.9 637*6 723.5 264.5 63**3 719*8 28 292.0 641.5 725.9 284*3 636.6 720.7 JUNE 4 292*4 643*1 727.0 289.5 642*6 725.7 11 294*2 | 646*3 730*4 292*5 646.9 729.7 16 r 294.1 * 647*6 731.7 r 294*2 r 646*8 r 731.1 25 P * 294.7 * 649.0 t 733.2 r 290*5 r 645.3 * 727.0 JULY 2 P 293^2 648.1 732*4 293*2 646.7 730.3 1/ INCLUDES (1) DEMAND DEPOSITS AT ALL COMMERCIAL BANKS OTHER THAN THOSE OUE TO DOMESTIC COMMERCIAL BANKS ANO THE U.S*GOVERNMENT, LESS CASH ITEMS IN THE PROCESS OP COLLECTION AND F.R*FLOATt !2> FOREIGN DEMAND BALANCES AT F.R.BAMKSt AND 131 CURRENCY OUTSIDE THE TREASURY, P.T.6ARKT Afo VAULTS OF ALL COMMERCIAL BANKS. Z/ i^ 0065 * IN * 0DlTl0N ^ CURRENCY AND DEMAND DEPOSITS, SAVINGS DEPOSITS, TIME OEPOSITS OPEN ACCOUNT, ANO TIME CERTIFICATES OF ?Sr°5I25 0TMfcR AH NEG0TIA6LE TIME CERTIFICATE OF DEPOSIT ISSUED IN DENOMINATIONS OF $100,000 OR MORE BY LARGE NEEKLY REPORT- ING COMMERCIAL BANKS* U !tfi*i:VS 6 ?.?J; ? LUS TH€ AVE,U6 * 0F *"* BEGINNING AND ENO OF MONTH OfcPGSITS 0^ MUTUAL SAVINGS BANK, SAVINGS AND LOAN SHARES, AND CREDIT UNION SHARES* 4 / INCLUDES H2. PLUS NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED IN DENOMINATION* OF $100,000 OR MORE. 5 / INCLUDES M3, PLUS NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED IN DENOMINATIONS OF 6100,000 OR MORE. P PRELIMINARY! R - REVISED Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis

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, ft • » I i

F E D E R A L RES E R V E i t a t U t l c o l re lease

FtDEHAL RESERVE Statistical Ralvata H.6 TiWa 1

MONEY STOCK MEASURES IN BILLIONS OF DOLLARS

for Immediate Reli i t t JULY iu» 1*13

Ml 1 n HUM ii

Ma

timmmmmmtmmm

Ma HT" pn r«r- r*r^. r-*r-i * 4 [ Mg

Currency jMt Plus Time Deposits at

M2Plus Deposits at Nonbank

Thrift institutions^

M2Ptus MjPlus Currency Mi Plus Time Deposits 6t

MaPlus Dftpoilti at Nonbank

Thrift „ Institutions^

M2 Pius MjPiuj Date , Plus Commercial

M2Plus Deposits at Nonbank

Thrift institutions^

! Large Negotiable

Large Plus Commercl»l

MaPlus Dftpoilti at Nonbank

Thrift „ Institutions^

Large Negotiable

Large Demand Banks

M2Plus Deposits at Nonbank

Thrift institutions^

! Large Negotiable Negotiable

! CD»S# ! Jtemind,

Deposits!/ Banks

MaPlus Dftpoilti at Nonbank

Thrift „ Institutions^

Large Negotiable Negotiable

Deposits^ Other Than Large 00*5^

M2Plus Deposits at Nonbank

Thrift institutions^

CD's*/ Negotiable

! CD»S# ! Jtemind,

Deposits!/ Other than LorgoCD's^

MaPlus Dftpoilti at Nonbank

Thrift „ Institutions^

CD's* CD'stf

M*M*JptfM*H>»Maa**lM*J*

Seasonally Adjusted Not Seasonally Adjuited

1974—JUN6 2B0.0 597.1 95 * . 8 676.4 1037a ! 218.2 596*5 957.2 676*2 1036*6 JULV 1 260.4 599*6 959.6 663*2 1043*2 260*0 599*2 960*9 661*9 104J*1 AUG. 260.» 601.9 962.6 665*7 1046*4 277.3 596*4 95B*t (63*5 1045*6 SEPT* 2B0*7 603.4 963*0 688.2 1049*9 276*9 600*3 460*6 669*0 1 1049** OCT. 1 201.6 607*6 970.7 693.6 1056.9 261*2 603*7 967*4 694*5 1056 *c NOV* 283.6 612.6 976.9 697*1 1062*5 265*1 609*6 912*6 696*6 105V.9 DEC* 764.4 613.5 981.7 703,6 1072*0 292*3 618*6 963*1 709*1 1015.3

1 9 7 5 — J A N . 262*2 615.5 967*0 706*3 1079.6 269*3 621*5 992*4 713*6 1084*4 FEB* 1 263 . * 620*5 995.6 712.4 1087*6 260*4 617*9 993*3 707*1 1062*5 MAR* 286*1 626.4 1007.2 716*1 1097.0 283*3 625.9 1008*6 713.9 | 1096*t» A M * 287*1 630*4 1017.2 718*8 1105*6 | 288*7 634.8 1023*9 720*6 j 1109*8 HAY 1 269,7 637.3 r 1029.6 t 722.9 1113.1 264*9 635*5 1029.2 719.6 1113*3 JUNE P 294*1 647.3 1045.7 731.4 112**8 292 *2 646*8 1047*3 729.1 1129*6

MEEK ENDING!

1075—MAY T 1 266*0 633*2 719.6 264.4 632*4 714*4 14 289.0 636*0 722*3 285*2 635*1 719*5 2 1 269.9 637*6 723.5 264.5 63**3 719*8 28 292.0 641.5 725.9 284*3 636.6 720.7

JUNE 4 292*4 643*1 727.0 289.5 642*6 725.7 11 294*2 | 646*3 730*4 292*5 646.9 729.7 16 r 294.1 * 647*6 731.7 r 294*2 r 646*8 r 731.1 25 P * 294.7 * 649.0 t 733.2 r 290*5 r 645.3 * 727.0

JULY 2 P 293^2 648.1 732*4 293*2 646.7 730.3

1 / INCLUDES (1 ) DEMAND DEPOSITS AT ALL COMMERCIAL BANKS OTHER THAN THOSE OUE TO DOMESTIC COMMERCIAL BANKS ANO THE U.S*GOVERNMENT, LESS CASH ITEMS IN THE PROCESS OP COLLECTION AND F.R*FLOATt !2> FOREIGN DEMAND BALANCES AT F.R.BAMKSt AND 131 CURRENCY OUTSIDE THE TREASURY, P . T . 6 A R K T Afo VAULTS OF ALL COMMERCIAL BANKS.

Z/ i^0065* I N * 0 D l T l 0 N ^ CURRENCY AND DEMAND DEPOSITS, SAVINGS DEPOSITS, TIME OEPOSITS OPEN ACCOUNT, ANO TIME CERTIFICATES OF ?Sr°5I25 0 T M f c R ™ A H NEG0TIA6LE TIME CERTIFICATE OF DEPOSIT ISSUED IN DENOMINATIONS OF $100,000 OR MORE BY LARGE NEEKLY REPORT­ING COMMERCIAL BANKS*

U !tfi*i:VS6?.?J; ? L U S T H € A V E , U 6 * 0 F * " * BEGINNING AND ENO OF MONTH OfcPGSITS 0^ MUTUAL SAVINGS BANK, SAVINGS AND LOAN SHARES, AND CREDIT UNION SHARES*

4 / INCLUDES H2. PLUS NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED IN DENOMINATION* OF $100,000 OR MORE. 5 / INCLUDES M3, PLUS NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED IN DENOMINATIONS OF 6100,000 OR MORE. P • PRELIMINARY! R - REVISED

Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis

flOiMAt Rt i lRVI BUtlitleat Raltait M %

Table 2

MONEY STOCK MEASURES PER CENT CHANGE AT SEASONALLY AOJUBTE0 ANNUAL RATES

H M

DATE

JUNE FROM!

MAR* 197*

DEC. 1974

JUNE 197*

*3 MONTHS PREVIOUS!

16 MONTHS PREVIOUS)

112 MONTHS PREVIOUS!

POUR WEEKS ENDING* JULY 2f 1975 PROM POUR WEEKS ENDING!

APR. 2# 197* 113 WEEKS PREVIOUS!

JAN. It 1975 <26 WEEKS PREVIOUS I

JULY 3f 1974 <*2 WEEKS PREVIOUS!

M i

Currency Plus Demand Deposits v

i l . z

6.6

10*6

6*9

4*9

M„

Mt Plus Time Deposits at Commercial

Banks Other Than Large .CD's1'

11.0

8.4

13.1

11.1

8*4

M,

M2Plus Deposits at NonbankfThnft

Institutions^/

19.3

13.0

9*4

M.

M2 Plus Large . , Negotiable CD's271

6*5

?.a

7.8

M*

M3 Plus Large Negotiable CD's W

0.3

7.7

7.7

12.0

10.8

8.9

1/ INCLUDES (It DEMAND DEPOSITS AT ALL COMMERCIAL BANKS OTHER tHAN THOSEIDUE tb D0MBS11L COMMERCIAL BANKS AND THE U.S.GOVERNMENT* LESS CASH ITEMS IN THE PROCESS Of COLLECTION AND P.R.PLOAT* <2) FOREIGN'DEMAND BALANCE AT F.R#BANKS* AND 13! CURRENCY OUTSIDh THE 1EASURV* P.R.BANKS AND VAULTS OP ALL COMMERCIAL BANKS.

2/ INCLUDES* IN ADDITION TO CURRENCY AND DEMAND DEPOSITS* SAVINGS DEPOSltS* TIME DEPOSITS OPEN ACCOUNT* AND TIME CERTIFICATES OP DEPOSITS OTHER THAN NEGOTIABLE TIME CERTIFICATES OP DEPOSIT ISSUED IN DENOMINATIONS OP 4100,000 OR MORE BY LARGE WEEKLY REP0R1 tNO COMMERCIAL BANKS. —

3/ INCLUDES M2# PLUS THE AVERAGE OP THE BEGINNING AND ENtFbP MONTH DEPOSITS OP MUTUAL SAVINGS BANKSt SAVINGS AND LOAN SHARES* AND CREDIT UNION SHARES*

4/ INCLUDES M2* PLUS NEGOTIABLE TIME CERTIPICATES OP DEPOSIT ISSUED IN UENbHtNAtlONS OP 1100*000 OR MORE. 3/ INCLUDES M3f PLUS NEGOTIABLE TIME CERTIFICATESiOP DEPOSIT ISSUED IN DiNoMlNMldNS OP t100.000 OR MORE. NOtlt ALL RATES OP CHANGE ARE BASED ON DAILY AVERAGE DATA* RATES OP CHAN6E ARE NOT COMPOUNDED.

Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis

PlfttftAL M8CRVE tUtlitlcaf ft«l«ti« H.6

TabU 3

COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS KAIMMLLY AOJUITtO, IN BILLIONS Of DOLUM

mBmmmmmim—mmKmmmmm^mmmmmm

Currency Demand Deposits Tlffli and Saving* Depoiltt

1 Won bank Date Currency Demand Deposits

| CD's^ Other Total Thrift Institutions*

1974—JUNE 6 * . 6 215.4 e l #3 3 1 7 * 1 3 9 8 * 4 3 3 8 . 7 JUIY 6 4 . B 219*6 6 3 . 6 3 1 9 . 2 462 * * 3 6 0 . 0 AUG* 6 9 * 9 2 1 9 . 0 J 83 #8 321 *9 4 0 9 * 2 3 6 0 * 7

2 1 4 . 8 1 3 2 2 . 7 4 0 7 . 9 3 6 1 . 7 OCT. **** 2 1 9 , 2 8 6 . 2 1 3 2 9 . 9 4 1 2 . 1 3 6 3 . 2 NOV. 6 7 . 4 2 1 6 , 2 8 5 . 5 3 2 8 * 0 4 1 3 * 6 3 6 9 * 3 DEC* 6 7 . 9 216*9 ! 9 0 . 3 3 2 9 . 1 4 1 9 . 4 3 6 8 . 2

1 9 7 * — J A N . 6 8 * 2 2 1 4 . 0 92 ml 3 3 3 * 3 4 2 6 . 0 3 7 1 . 3 F E B . | 6 6 , 6 2 1 4 . 7 9 2 * 1 ! 3 3 6 . 6 4 2 6 . 9 3 7 9 . 3 MAR. 6 9 . 9 2 1 6 . 6 8 9 . 8 3 4 0 . 3 4 3 0 . 0 3 8 0 . 8 APR. 1 6 9 . 6 J 2 1 7 . 9 8 8 . 4 3 4 3 . 3 4 3 1 . 7 3 8 6 . 8 MAY 7 0 * 3 2 1 9 . 4 8 9 . 9 3 4 7 . 6 4 3 3 * 1 3 9 2 . 2 JUNE P i 7 1 . 1 2 2 3 . 0 | 8 4 . 1 3 9 3 . 2 4 3 7 . 3 3 9 8 * 4

WEEK ENDING*

1979—MAY 7 6 9 . 8 2 1 8 . 2 86*<r 3 4 9 . 1 4 3 1 . 6 14 7 0 . 2 2 1 6 . 6 8 6 . 3 j 347 *0 4 3 3 . 3 21 1 7 0 . 9 2 1 9 . 4 6 9 . 9 i 3 4 7 . 7 4 3 3 . 7 20 7 0 . 8 2 2 1 . 2 8 4 . 4 3 4 9 . 5 4 3 3 . 9

JUNE 4 7 0 . 6 2 2 1 . 6 8 3 . 9 i 3 9 0 . 7 4 3 4 . 6 11 1 7 1 . 1 2 2 3 . 1 6 4 . 1 3 3 2 . 1 4 3 6 . 2 18 1 7 1 . 2 r 2 2 2 . 9 8 4 . 1 3 3 3 . 9 4 3 7 . 7 29 P 7 1 . 4 r 2 2 3 . 3 r 8 4 . 2 r 3 9 4 . 3 r 4 3 8 . 4

JULY 2 P ! 7 1 . 1 222 .2 6 4 . 3 3 9 4 . 9 4 3 9 . 2 ,

1 / INCLUDES NEGOTIABLE TIME CERTIFICATES OF DEPOSIT ISSUED IN DENOMINATIONS OF 1100*000 OR MORE : BY LARGE WEEKLY REPORT* IN* COMMERCIAL BANKS.

2/ AVERAGE OP BECINNING AND END OF MONTH DEPOSITS AT MUTUAL SAVINGS BANKS, SAVINGS AND LOAN SHARLS, AND CREDIT UNION SHARES. P ~ PRELIMINARY| R - REVISEO

Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis

FtOIftAt ftCIINVE Stitlitlcil MfltMt H t

Tabl* 4

COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS NOT SEASONALLY ADJUSTED, IN BILLIONS Of DOLLARS

Currency

[ Damend D t p o i l t i ^ Nonbank Thrift

Institutions^

0 S Govt Demand^ Date Currency

Total^ Member Domestic Nonfflember̂ j CD's^ ;

llll UJI I I I I I B II'II - " " - ^

Other wmmmmmmmmmummaiamM

Total

Nonbank Thrift

Institutions^

0 S Govt Demand^

1974--JUNE 6 4 * 6 2 1 3 . 5 1 5 3 . 6 5 6 . 1 7 9 * 6 | 416*3 391*9 3 6 0 . 7 6 * 1 JULY 65 *3 2 1 4 . 7 154*4 56*5 82 *6 i 319*2 402*0 j t i . 1 5*4 AUG* 65*7 211*6 1 5 2 . 3 5 6 * 1 8 7 * 1 aa*i 406*2 360*3 4 * 0 S t P T . 65*B 2 1 3 . 1 1 5 3 . 3 56*6 6 8 * 7 3 2 1 * 3 4 1 0 * 1 3 6 0 . 5 5 . 5 OCT. 6 6 . 4 l 2 1 4 . 7 1 5 4 . 4 5 7 * 1 BB.fc 3 2 4 * 6 4 1 3 * 3 3 6 1 * 7 3 . 7 NOV* 67*9 2 1 7 . 3 1 5 6 . 0 £7*7 8 7 * 1 3 2 4 * 6 4 1 1 * 7 3 6 3 * 0 1 3*4 DEC* 6 9 * 0 2 2 3 . 3 160*4 58*9 9 0 . 5 3 2 6 * 3 4 1 6 . 6 366*5 4 . 9

1975 — J A N . 67 *6 | 2 2 1 . 5 1*0*9 * 8 * 7 9 1 * 9 3 3 2 * 2 4 2 4 * 1 ; 1 371*0 4 * 0 FEB* 67 *9 212*6 152*4 5 6 . 6 8 9 . 2 3 3 7 * 4 4 2 6 * 6 375*4 3 *4 MAR. 6 6 * 9 214*4 1 5 4 * 0 5 1 * 1 8 8 . 1 3 4 2 . 6 4 3 0 * 6 ! 3 6 2 * 7 3 *9 APR* 6 9 * 2 219*5 1 5 7 * 6 M * 8 6 5 * 6 3 4 6 * 1 4 3 2 * 0 3 8 9 * 1 4 * 2 MAY 7 0 * 1 214*6 1 5 4 * 1 51*8 8 4 * 1 3 5 0 . 6 434*1 3 9 3 . 8 4 * 2 JUNE P 7 1 * 3 220*9 1 5 7 . 9 6 0 . 0 8 2 * 3 3 5 4 * 6 4 3 6 * 9 4 0 0 * 5 4 * 2

WEEK ENDING*

1975—MAY 7 6 9 * 9 2 1 4 . 5 1 5 4 . 3 5 7 . 4 6 4 * 0 3 4 8 . 0 4 3 2 * 0 T * l 14 7 0 * 2 2i5*o ; 1 5 4 * 1 58*2 8 4 * 4 3 4 9 . 9 4 3 4 * 3 S*7 21 7 0 * 1 2 1 4 . 4 ! 153*8 57*8 84 *6 350*7 4 3 5 * 3 3 . 9 28 7 0 . 1 214*2 J 1 5 3 * 7 bi**> 63*4 332*5 4 3 6 * 4 2 * 9

JUNE 4 7 0 . 6 219*0 156*8 59 *0 8 3 . 1 3 5 3 * 1 4 3 6 . 2 3 . 1 11 1 7 1 * 7 220*8 | 1 5 7 . 6 6 0 . 3 8 2 * 9 3 5 4 . 3 4 3 7 * 2 3 . 4 18 7 1 . 4 222*7 ! 159*2 60*6 8 2 * 3 3 5 4 * 6 4 3 6 * 9 t 5.8 25 P 7 1 . 0 r 2 1 9 * 4 r 1 ) 6 ..9 * 9 « 6 r * 1 » 7 r 3 5 4 * 8 r 4 3 6 * 5 4 * 9

JULY 2 P 71*4 2 2 1 * 1 156*5 5 9 * * 6 1 * 6 3 5 5 * 6 4 3 7 * 4

mmmmmmmmmmmmm

3*2

1 / TOTAL DEPOSITS INCLUDE, IN ADDITION To THE MEMBER AND OSjMBSTlO NONH£hfi£ft fliMJSIt* SMOWNf DEPOSITS DUE TO FOftlt&N AND m tit INTERNATIONAL INSTITUTIONS AT F.R.BANKS MO Ml TYPE SAFlNcES AT AGENtt&S AMD BLANCHES OP FOREIGN BANKS*

2/ SASED ON MOST RECENT CALL REPORT SINGLE-DAY OBSERVATIONS* 3/ INCLUDES NEGOTIABLE TIME CERTIFICATES OF Of:POSIT ISSUED IN DENOMINATIONS OF *100,000 Oft MORE BY LARGE WEEKLY

REPORTING COMMERCIAL BANKS* 4/ AVERAGE OF BEGINNING AND END OF MONTH DEPOSITS AT MUTUAL SAVINGS BANkS* SAVINGS AND LOAN SHARES. AND CREDIT UNION SHARES. 5/ U.S.GOVERNMENT DEMAND DEPOSITS AT ALL COMMERCIAL BANKS* P - PRELIMINARY! R - REVISED

Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis