h6_19741031.pdf

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,OfJ£V FEDERAL RESERVE statistical release * » f . » ' H.6 Date M, Currency plus demand deposits 1 ' Tabt« 1 MONEY STOCK MEASURES IH .ILLION* Of DOUAM For Immediate Release October 3 1 , 1974 Mj Mt plus time deposits] at commercial banks other than large CD's*' M| M 2 plus deposits at nonbank thrift institutions^ T. Currency plus demand deposits 1 ' M s M| plus time deposits at commercial banks other than large CD's*' Mi M2 plus deposits at nonbank thrift institutions^ 1973—Sept. Oct. Nov. Dec. 19 74—Jan. Feb. Mar. Apr. May June July Aug, Sept. p 1974—Sept. 4 11 18p 25p Oct, 2p 9p 16p 23p 265.5 266.6 269.2 271.4 270.6 273.1 275.2 276.7 277.8 279.6 280.0 280.6 281.1 280,9 280.6 280.8 280.0 280.7 281.0 r. 2S4.2 282.1 Seasonally Adjusted 556.8 561.9 567.3 572.1 575.1 581.2 585.0 588.5 591.0 596.2 598.9 r 602.0 603.5 603.1 602.7 603.2 602.2 604.2 606.0 r 610.3 608.3 V 1 873.5 880.3 887.7 894.8 900 908 914 919 ,1 ,3 ,6 ,9 264.0 266.1 270.9 279a 277.8 923.1 929 932 r 936 ,2 ,9 ,4 938.8 270, 272, 278, 273, 277, 279, 277, 279, Not Seasonally Adjusted 554.4 560.1 565,7 577.2 581,1 578.6 278.4 280.5 280.9 276.5 278.7 280.7 r 284.1 281.1 584, 592, 589, 595, 597.8 598, 600. 600.2 601.8 602.0 597.4 601,3 604.6 r 608.9 605.9 870.0 877.2 884.0 898.4 905,7 905.5 915.3 926 922 930 933 932 935.0 include* (1) demand deposit* at all commercial bank* other than those due to domestic commercial banks and the u S Government leas cash items in the process of collection and F 0 float. (2) foreign demand balances at F.R Banks, and (3) currency outside the Treasury, p R. Banks and vaults of an commercial banks Includes in add n ion 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 denomination* o< $100 000 or more by large weekly reporting commercial banks P " *T e *• inilnary includes Mj. plus the average of the beginning and end of month deposits of mutual savings banks and savings and loan shares r - Revised Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis

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  • ,OfJV F E D E R A L R E S E R V E s t a t i s t i c a l r e l e a s e *

    f . ' H.6

    Date

    M,

    Currency plus demand deposits1'

    Tabt 1

    MONEY STOCK MEASURES IH .ILLION* Of DOUAM

    For Immediate Release O c t o b e r 3 1 , 1974

    M j Mt plus time deposits] at commercial banks

    other than large CD's*'

    M| M2 plus deposits

    at nonbank thrift institutions^

    T. Currency plus

    demand deposits1'

    Ms M| plus time deposits at commercial banks

    other than large CD's*'

    Mi

    M2 plus deposits at nonbank

    thrift institutions^

    1973Sept. Oct. Nov. Dec.

    19 74Jan. Feb. Mar. Apr. May June July Aug, Sept. p

    1974Sept. 4 11 18p 25p

    Oct, 2p 9p

    16p 23p

    265.5 266.6 269.2 271.4

    270.6 273.1 275.2 276.7 277.8 279.6 280.0 280.6 281.1

    280,9 280.6 280.8 280.0

    280.7 281.0

    r. 2S4.2 282.1

    Seasonally Adjusted 556.8 561.9 567.3 572.1

    575.1 581.2 585.0 588.5 591.0 596.2 598.9

    r 602.0 603.5

    603.1 602.7 603.2 602.2

    604.2 606.0

    r 610.3 608.3

    V

    1

    873.5 880.3 887.7 894.8

    900 908 914 919

    ,1 ,3 ,6 ,9

    264.0 266.1 270.9 279a 277.8

    923.1 929 932

    r 936

    ,2 ,9 ,4

    938.8

    270, 272, 278, 273, 277, 279, 277, 279,

    Not Seasonally Adjusted 554.4 560.1 565,7 577.2

    581,1 578.6

    278.4 280.5 280.9 276.5

    278.7 280.7

    r 284.1 281.1

    584, 592, 589, 595, 597.8 598, 600.

    600.2 601.8 602.0 597.4

    601,3 604.6

    r 608.9 605.9

    870.0 877.2 884.0 898.4

    905,7 905.5 915.3 926 922 930 933 932 935.0

    include* (1) demand deposit* at all commercial bank* other than those due to domestic commercial banks and the u S Government leas cash items in the process of collection and F 0 float. (2) foreign demand balances at F.R Banks, and (3) currency outside the Treasury, p R. Banks and vaults of an commercial banks

    Includes in add n ion 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 denomination* o< $100 000 or more by large weekly reporting commercial banks P " * T e * i n i l n a r y includes Mj . plus the average of the beginning and end of month deposits of mutual savings banks and savings and loan shares r - R e v i s e d Digitized for FRASER

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

  • FEDERAL RESERVE Statistical Release H 6

    Table 2

    MONEY STOCK MEASURES PER CENT CHANGE AT SEASONALLY ADJUSTED ANNUAL RATES

    Ml M2 M3

    Ppnod turrency plus demand deposits^

    M \ plus time deposits at^ commercial banks

    other than large CD's 2/

    M2 plus deposits at nonbank

    thrift institutions27

    September from:

    June 1974 (3 months p rev ious ) Mar* 1974 (6 months p rev ious ) Sept . 1973 (12 months p r e v i o u s )

    Four weeks end ing : Oct* 2 3 , 1974 from four weeks end ing :

    Ju ly 24, 1975 (13 weeks previous^ Apr. 24 , 1974 (26 weaks prev ious Oct. 24, 1973 (52 weeks p jev ious

    2 . 1 4 . 3 5.9

    ) 2 . 7 ) 3 . 7 ) 5 . 9

    4 .9 6 .3 8.4

    5 . 8 0 . 4 8 . 3

    4*1 5.3 7.5

    1

    V includes 0 ) deffi'tid depostts at all commercial banks other than those due to domestic commercial barlks arid the U S government less cash items in the process of collection and r R float

    (2) foreign demand balances at F R Banks and (3) currency outside the Treasury F R Banks and vaults of all commercial banks m addition to currency and demand deposits savings deposits time deposits open accounts, rind time certificates of deposits other than

    negotiable time certificates of deposit issued in denominations of $100 000 or more by large weekly hefty ling commercial banks mc iudes M? plus me avenge ot the beginning and end of month deposits of mutual savings banks Sijid pavings and Joan shares

    Note All rates of change are based on daily average data rates of change are not compounded

    V

    V includes

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

  • FEDERAL RESERVE Statistical Release H 6 Table 3

    COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS SEASONALLY ADJUSTED, IN BULLIONS OF DOLLARS

    Date Currency

    mmmttmmmtmmammmmmm.

    Demand deposits

    [ " Time and savings deposits Date Currency

    mmmttmmmtmmammmmmm.

    Demand deposits CD's^ Other Total Nonbank

    1 thrift institutions 2/

    1973 Sept. 60.2 205 .3 66.7 ! 291.4 358.0 316.7 Oct. 60.5 206 .1 63 .8 295.3 359.1 318.5 Nov. 61 .0 208.2 62 .0 298 .1 360 .1 320.4 Dec. 61.7 209. 7 62 .8 300, 6 | 363.5 322.7

    1974Jan. 61 .9 208.7 65.5 304. 6 370.1 325.0 Feb. 62.7 210.4 66.6 308 ,1 374.7 327.1 Mar. 63 .3 211.9 67.7 309. 8 377,5 329.6 Apr. 63 .9 212 .8 75 .4 311 .8 387.1 331.4 May 64 .4 213 .4 81.2 313 .3 394.4 332 .1 June 64 .8 214 .8 1 83 .3 316.5 399.9 333 .1 July 64 .9 215 .1 85 .4 319.0 404 .3 334.0 Aug. 65 .6 215.1 84.7 321.4 406 .1 334.4 Sept. P 65.9 215.1 86 .0 322.4 408 .4 335.3

    1974Sept, 4 65. 7 215.2 1 85.0 322.2 407 .2 11 66.0 | 214.6 86 .0 322,1 408.0 18p 65.9 214 .8 85 .8 322.4 408.2 25p 66.0 214.0 J 8 6 . 4 322.2 408.6

    Oct. 2 P 65.8 214.9 J 8 6 , 4 3 2 3 . 4 409. 9 9p 66.7 214.3 85.2 325.0 410.2 1 16p 66 .8 r 217.4 84 .9 r 326.1 r 411.0 23p 66.7 215.4 85 .9 326.3 412.1

    i M W I ^ i l l l l H n n H H M H M P W

    ~* t^ciu^es negotiable time certificates of deposit i^su^d in denominations of $100 OOO or wore by large weekly reporting commercial banks / ag^ of fceq no ng and end of month deposit^ at mutual s* mgs 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

    Table 4

    COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS NOT SEASONAi t Y ADJUSTED. IN Bit ClONS OF DO! LARS

    rmmmmmmmmmrmmmmmmmmmmmimmmmmmmmmmmmmmmmimmmm

    Demand deposits Time and savings deposit _J Nonbank Nonbank Dat e Currency Total" Member Domestic tionmember ?l\ CD's

    J / Olhnr Total thrift institutions4' US Govt demand 5

    1973--Au. 6 0 . 0 202.9 147, 8 52.7 68.4 2 8 8 . 3 3 5 6 . 7 315.3 4.1 Sept. 6 0 . 1 | 203.8 148.2 53.3 68.8 290.5 359. 3 315.6 5.3 Oct, 60. 4 ! 205.7 149,7 53.8 1 66.3 294.0 3 0 0 . 3 ! 317.0 6.0 Nov. 6 1 . 5 209.5 151.8 55.1 64.1 2y4. 8 3 5 9 . 0 318.3 4.3 Dec* 6 2 . 7 216.4 157.0 56.6 ; 64J 298.1 3 6 2 . 2 ! 321.2 6.3

    1974 Jati. 6 1 . 6 ! 216.2 156.4 56.9 ! 1 66.1 303.3 3 6 9 . 4 | 324,5 8.1 Feb. 6 1 . 9 1 208.3 151.1 54.6 I 65.9 308.4 3 7 4 . 3 [ 326.9 ! 6.6 Mar. 6 2 . 7 209,8 152.4 54.7 1 67.0 312.0 3 7 9 . 1 330.8 ! 6.4 Apr. 6 3 . 5 214.7 155.8 56.2 j 72 .4 314.7 3 8 7 . 1 333.2 6.0 May 6 4 , 2 208.9 151.2 54.9 j ! 77 .8 316.1 3 9 3 . 9 333.0 7.6 June 6 4 . 9 212.7 153.4 56.3 | 79.7 318.1 3 9 7 . 9 334.7 6 .1 July 6 5 . 4 213.8 154.2 56.8 ! 83.3 318.6 4 0 2 . 0 335.6 5 .4 Aug. 6 5 . 8 211.4 152.1 56.5 j 87 .4 r 320. 408.3 334.2 3 ,9 Sept* P 65*9 213 .6 153 .4 57.3 88 .9 321.4 410.3 334,1 5 .4

    1974Sept . 4 6 5 , 9 212,5 153,0 56.7 88 .5 321 .7 410.2 3 .3 11 66.4 214.1 153.2 58 .1 89.0 321.3 410 .3 3 .8 18p 66.0 214.9 154.0 57.9 88.2 321,1 409,3 5.6 25p 65.4 211.1 151.7 56.3 89 ,1 321.0 410 .1 7.0

    Oct. 2p 65.5 213,2 154.0 56.3 89*5 322.6 412 ,1 6.7 9p 67.0 213.7 153.5 57 .4 \t 88.9 323.9 412.7 4 .6

    16p 66.9 t 217.2 t 155.7 58.7 $8,7 t 324.8 r 413.5 3 .0 23p

    i '

    66.5 214.6 153,7 58 .1 8 9 , 4 324.8 414.2 3 .3

    U Tots! deposits include m addition to the mcnibpr and domestic nortffiember deposit* shown, deposits due lo forelyrl and IffUoftiatlcIitdl Institution* at F R Banks and Wlj type balances at dyentiH ami brancbo* of fdreign banks

    2 / Bated on mott recent calf report single day obiervattdrt* 3/ Includes negotiable time certificates of deposits issued in denominations of $100,000 or more by large weikly teportirig tiomnterolBl banks 4 / Average of beginning and end of month deposit* at mutuo! laving* banks md savings and loan shares 6 / U S Government demand d* posits at dll commercial banks Rfc V 2 / 7 4 Digitized for FRASER

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