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FEDERAL RESERVE statistical release
For Release atH.6(508) 4:15 P.M. EST
December 27, 1982
Seasonal Factors for Early 1983
Preliminary monthly and weekly seasonal factors for components
of the monetary aggregates for January to March 1983 are shown on the
last page of today's release. These factors will be used to construct
the seasonally adjusted money stock data until completion of the annual
review of seasonal factors in the early part of 1983.
Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis
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FEDERAL RESERVE statistical release
H6 (508)Table 1
MONEY STOCK MEASURES AND LIQUID ASSETSBillions of dollars
For Release at 4:15 p.m. EST
DEC. 2 7 , 1982
Date
1981NOV.DEC.
1982JAN.FEB.MAR.APR.MAYJUNEJULYAUG.SEPT.OCT.NOV.
M1
sum ofcurrency,travelerschecks,demand
deposits andother
checkabledeposits1
436.4440.9
448.6447.3448.3452.4451.5451.4451.3455.2460.5468.4474.9
M2Seasonal!
M1 plusovernight RPs
andEurodollars,
MMMFbalances (gen.
pur. andbroker/dealer),and savings
and small timedeposits2
1809.91822.7
1841.31848.11865.31880.91897.71908.21923.81946.81955.11968.21987.4
M3y adjusted
M2 plus largetime deposits,term RPs and
Institution-onlyMMMF
balances3
2174.72188.1
2204.32215.12235.92258.32279.52296.22320.62356.42364.22380.72397.9
L
M3 plus otherliquid assets4
2629.32642.8
2667.92690.52717.22744.22774.42799.52831.92856.2
M l M2 M3Not seasonally adjusted
sum ofcurrency,travelerschecks,demand
deposits andother
checkabledeposits1
439.7451.2
453.4437.2440.0455.5445.1450.5454.0454.0460.5470.2478.5
M1 plusovernight RPs
andEurodollars,
MMMFbalances (gen.
pur. andbroker/dealer),and savings
and small timedeposits2
1809.61829.4
1849.21842.91862.11888.11889.11906.61925.21939.41951.31972.11987.2
M2 plus largetime deposits,term RPs and
Institution-onlyMMMF
balances3
2175.62199.9
2217.22216.12237.52266.32269.52290.32314.52343.12356.82382.12398.9
L
M3 plus otherliquid assets4
2628.52653.8
2682.32698.52723.22754.72767.52794.72820.52843.4
For period ended
1982NOV. 3101724
DEC. 18 P
15 P
M1Seasonally adjusted
13-weekaverage
462.2463.7465.3466.7
468.2469.5471.1
4-weekaverage
470.0471.2473.2474.1
474.9476.4477.6
week average
473.2473.4475.84 7 4 . 1
476 .1479.7460.3
Not seasonally adjusted13-weekaverage
462.4464*1466.2468.0
470.0471.9473.8
4-weekaverage
470.4471.9
477.5
478.4480.9483.3
week average
474.b48U.3482.2472 .7
47b.2490 .4491 .7
NOTE: SPECIAL CAUTION SHOULD BE TAKEN IN INTERPRETING WEEK-TO-WEEK CHANGES IN MONEY SUPPLY DATA* WHICH AREHIGHLY VOLATILE AN0 SUBJECT TO REVISION.PINDICATES PRELIMINARY DATA.FOOTNOTES APPEAR ON THE FOLLOWING PAGE
Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis
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H.6(508)Table 2MONEY STOCK MEASURES AND LIQUID ASSETSPercent change at seasonally adjusted annual rates
Date
3 MONTHS FROM AUG. 1982 TO NOV. 1982
6 MONTHS FROM MAY 1982 TO NOV. 1982
12 MONTHS FROM NOV. 1981 TO NOV. 1982
THIRTEEN WEEKS ENDING DEC. 1 5 , 1982FROM THIRTEEN WEEKS ENDING:
SEPT. 1 5 , 1982 (13 WEEKS PREVIOUS)JUNE 16 , 1982 (26 WEEKS PREVIOUS)DEC. 16 , 1981 (52 WEEKS PREVIOUS)
M1
17.3
10.4
8 .8
15.3
8 .7
8 . 3
M2
6 . 3
9 . 5
9 .8
M3
7 . 0
10.4
10.3
FOOTNOTES TO TABLE 11/ AVERAGES OF DAILY FIGURES FOR (1) CURRENCY OUTSIDE THE TREASURY, FEDERAL RESERVE BANKS, AND
THE VAULTS OF COMMERCIAL BANKS; (2) TRAVELERS CHECKS OF NONBANK ISSUERS; (3) DEMAND DEPOSITSAT ALL COMMERCIAL BANKS OTHER THAN THOSE OUE TO DOMESTIC BANKS, THE U.S. GOVERNMENT, ANDFOREIGN BANKS AND OFFICIAL INSTITUTIONS LESS CASH ITEMS IN THE PROCESS OF COLLECTION ANDFEDERAL RESERVF FLOAT; AND (4) OTHER CHECKABLE DEPOSITS (OCD) CONSISTING OF NEGOTIABLEORDER OF WITHDRAWAL (NOW) AND AUTOMATIC TRANSFER ACCOUNTS (ATS) ACCOUNTS AT DEPOSITORYINSTITUTIONS OTHER THAN CREDIT UNIONS, CREDIT UNION SHARE DRAFT ACCOUNTS, AND DEMANODEPOSITS AT THRIFT INSTITUTIONS. THE CURRENCY ANO DEMAND DEPOSIT COMPONENTS EXCLUDE THEESTIMATED AMOUNT OF VAULT CASH AND DEMAND DEPOSITS, RESPECTIVELY, HELO BY THRIFT INSTITUTIONSTO SERVICE THEIR OCD LIABILITIES.
2/ INCLUDES OVERNIGHT (AND CONTINUING CONTRACT! RPS ISSUED BY ALL COMMERCIAL BANKS ANO EURODOLLARSISSUED BY CARIBBEAN BRANCHES OF MEMBER BANKS, SAVINGS AND SMALL DENOMINATION TIME DEPOSITS(TIME DEPOSITSINCLUDING RETAIL RPSIN AMOUNTS OF LESS THAN $100,000), AND TIME DEPOSITSBROKER/DEALER MONEY MARKET MUTUAL FUND SHARES. EXCLUDES AM0UN1S HELD BY U.S. COMMERCIAL BANKS,MONEY MARKET FUNDS (GENERAL PURPOSE AND BROKER/DEALER), FOREIGN GOVERNMENTS ANO COMMERCIAL BANKS,AND THE U.S. GOVERNMENT. M2 WILL DIFFER FROM THE SUM OF COMPONENTS PRESENTED IN SUBSEQUENT TABLESBY A CONSOLIDATION ADJUSTMENT THAT REPRESENTS THE ESTIMATED AMOUNT OF DEMAND DEPOSITS AND VAULTCASH HELD BY THRIFT INSTITUTIONS TO SERVICE TIME AND SAVINGS DEPOSITS.
3/ INCLUDES LARGE DENOMINATION TIME DEPOSITS AND TERM RPS (IN AMOUNTS OF $100,000 OR MORE) ISSUEDBY COMMERCIAL BANKS AND THRIFT INSTITUTIONS, EXCLUDING THOSE HELD BY DEPOSITORY INSTITUTIONS,THE U.S. GOVERNMENT, MONEY MARKET FUNOS, ANO FOREIGN BANKS ANO OFFICIAL INSTITUTIONS. M3 WILLDIFFER FROM THE SUM OF COMPONENTS PRESENTED IN SUBSEQUENT TABLES BY A CONSOLIDATION ADJUSTMENTTHAT REPRESENTS THE ESTIMATED AMOUNT OF OVERNIGHT RPS HELD BY INSTITUTION-ONLY MONEY MARKETMUTUAL FUNOS.
*/ OTHER LIQUID ASSETS INCLUDE THE NONBANK PUBLIC HOLDING OF U.S. SAVINGS BONDS, SHORT-TERMTREASURY SECURITIES, COMMERCIAL PAPER, BANKERS ACCEPTANCES, AND TERM EURODOLLARS HELD BY U.S.RESIDENTS, NET OF MONEY MARKET MUTUAL FUND HOLDINGS OF THESE ASSETS.
Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis
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H.6 (508)Table 3
COMPONENTS OF MONEY STOCK MEASURES ANDBillions of dollars, seasonally adjusted unless otherwise noted
Date
1981-NOV.DEC.
1982-JAN.FEB.MAR.
APR.MAYJUNE
JULYAUG.SEPT.
OCT.NOV.
WEEK ENDINGS
1982-NOV. 3101724
DEC. 16 P
15 P
Currency1
121.8123.1
123.8124.6125.1
126.3127.4128.4
128.8129.5130.5
131.2131.6
131.3131.5131.5131.8
131.9132.0132.4
Travelerschecks2
4 . 34 . 3
4 . 34 . 34 . 4
4 . 44 . 54 . 5
4 . 44 . 44 . 4
4 . 44 . 4
Demanddeposits3
235.7236.4
239.3234.5233.0
233.0232.7231.0
230.6231.1232.6
236.2238.3
237.4237.1239.8237.6
237.6240.0240.1
Othercheckabledeposits4
74.777.0
81.183.885.8
88.687.087.5
87.490.293.0
96.5100.7
100.1100.4100.1100.3
102.3103.3103.4
LIQUID ASSETS
OvernightRPs5
NSA
30.431.4
35.735.636.7
34.635.836.0
36.437.636.6
39.840.6
41.543.242.341.3
35.442.642.1
OvernightEuro-
dollars6
NSA
6 . 56 . 7
7 . 57 . 36 . 3
5 . 87 . 07 . 0
7 . 06 . 96 . 5
6 . 26 . 6
6 . 45 . 87 . 07 . 2
6 . 36 . 36 . 7
Savings deposits
atcommer-
cialbanks
156.4157.0
158.9159.0160.8
160.7160.5159.9
157.0155.9156.6
159.3164.0
161.5163.5164.4164.4
164.4164.9169.2
atthrift
Institu-tions
184.5186.6
189.9189.6189.9
.189.9190.4189.9
187.1186.1185.9
193.3198.3
total
340.9343.6
348.8346.6350.7
350.5350.9349.9
344.0342.0342.4
352.6362.3
Small denominationtime deposits7
atcommer-
cialbanks
357.4357.3
358.6363.4371.0
379.9366.5391.6
401.1407.9410.9
407.6407.4
407.6407.507.3407.9
407.4406.9405.7
atthrift
institu-tions
499.4497.4
493.74V6.0499.0
501.7507.5509.4
516.7522.7521.7
516.2515.6
total
656.6854.7
652.3859.4869.9
661.6694.1900.9
919.7930.6932.6
923.6923.0
Money marketmutual fund balances*
generalpurpose
and brokerdealer
144.91*1.2
154.9156.1159.*
162.1164.6166.9
171.7160.6162.5
164.1166.6
166.1166.5166.V166.5
186.5165.4162.0
institutiononly
32.0J3.7
34.5iHJ.531.5
31.532.833.7
36.743.14 3 . *
44.645.3
45.%45.344.545.4
45.645 .143.to
1 / CURRENCY OUTSIDE THE U . S . TREASURY, F .R . BANKS AND VAULTS OF COHMERCIAL BANKS. EXCLUDES THE ESTIHATED AMOUNT OF VAULT CASHHELO BY THRIFT INSTITUTIONS TO SERVICE THEIR OCD L I A B I L I T I E S .
7/ OUTSTANDING AMOUNT OF U . S . DOLLAR-DENOMINATED TRAVELERS CHECKS OF NONBANK ISSUERS.3 / OFMANO DEPOSITS AT COMMERCIAL BANKS AND FOREIGN RELATED INSTITUTIONS OTHER THAN THOSE DUE TO DOMESTIC BANKS, IHE U . S . GOVERN-
MENT ANO FOREIGN BANKS AND OFFICIAL INSTITUTIONS LESS CASH ITEMS I N THE PROCESS OF COLLECTION ANO F.R. FLOAT. EXCLUitS THkESTIMATED AMOUNT OF OEMAND DEPOSITS HELD AT COMMERCIAL BANKS BY THRIFT INSTITUTIONS TO SERVICE THEIR OCD L I A B I L I T I E S .
4 / INCLUDES ATS ANO NOW BALANCES AT ALL DEPOSITORY INSTITUTIONS EXCEPT CREDIT UNIONS. CREDIT UNION SHARE OKAFT BALANCES ANUDEMAND OEPOSITS AT THRIFT INSTITUTIONS. OTHER CHECKABLE DEPOSITS SEASONALLY ADJUSTEO EOUALS DEMAND DfePOSlIS PLUS OCUSEASONALLY ADJUSTEO LESS OEMANO DEPOSITS SEASONALLY ADJUSTED.
5 / INCLUDES OVERNIGHT AND CONTINUING CONTRACT RPS ISSUED BY COMMfcRCIAL BANKS TO OTHfcR THAN DEPOSITORY INSTITUTIONS kHC MONbYMARKET MUTUAL FUNDS iGENERAL PURPOSE AND BROKER/DEALER)*
6 / ISSUED BY CARIBBEAN BRANCHES OF U .S . MEMBER BANKS TO U . S . RESIDENTS OTHER THAN DEPOSITORY INSTITUTIONS AND MONtY MARKET MUTUAL7 / SMALL#DENOMINATION TIME DEPOSITS INCLUDING RETAIL RPS ARE THOSE ISSUED IN AMOUNTS OF LESS THAN $ 1 0 0 0 0 0 .8 / NOT SEASONALLY AOJUSTED.
Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis
-
H.6 (508)Table 3-continuedCOMPONENTS OF MONEY STOCK MEASURES AND LIQUID ASSETSBillions of dollars, seasonally adi
Date
1981-NOV.DEC.
1982-JAN.FEB.MAR.
APR.MAYJUNE
JULYAUG.SEPT.
OCT.NOV.
WEEK END ING l
1982-NOV. 3101724
DEC. 18 P
15 P
usted unless otherwise notedLarge denomination time deposits1
at commercialbanks2
246.8245.9
247.2251.42 54.5
258.5263.1268.8
276.1279.0277.7
2 77.8271.1
268.2266.0274.2272.2
272.7272.2270.4
at thriftinstitutions
53.754.4
55.556.658.0
58.758.559.5
59.760.661.6
63.465.9
total
300.6300.3
302.6308 .0312.6
317.2321.6328.3
335.8339.6339.3
341.2337.0
Term RP*3at commercial
banksNSA
27.827.1
23.723.822.8
25.223.321.8
19.722.520.9
22.124.0
25.420.622.423.6
29.521.422.3
at thriftinstitutions
NSA
7.88.3
8.88.86.7
9.09.39.5
9.69.69.6
9.29.4
totalNSA
35.635.4
32.532.531.5
34.232.631.2
29.332.130.5
31.333.4
Term 4Eurodollars
NSA
65.566.7
69.973.874.4
78.583.384.8
84.281.5
Savingsbonds
67.767.7
67.867.867.7
67.767.767.tt
67.767.6
Short-termTreasurysecurities^
179.9176.5
180.3186.4191.0
191.7191.9194.8
199.9200.5
Bankersacceptances6
3 8 . 139.7
40.23V.137.9
38.J39.V40.3
*O.b40.2
Commercialpaper?
103.710*.2
105.5106.4110.3
109.7112.1il!>.7
lib.7112.0
1 / LARGE DENOMINATION TIME DEPOSITS ARE THOSE ISSUED IN AMOUNTS OF $ 1 0 0 , 0 0 0 OR NCKEt EXCLU01NG THOSE BOOKfcO Ai INTERNATIONALBANKING FACIL IT IES U B F S ) .
2 / LARGE DENOMINATION TIME DFPOSITS AT COMMERCIAL BANKS LESS LARGE TIME HELD BY MONEY MARKET MUTUAL FUNDS AND THRIFT INSTITUTIONS.3 / TERM RPS ARE THOSE WITH ORIGINAL MATURITY GREATER THAN ONE DAY, EXCLUDING CONTINUING CONTRACTS AND RETAIL KPS.4 / TERM EURODOLLARS ARE THOSE WITH ORIGINAL MATURITY GREATER THAN ONE DAY EXCLUOING THOSE HELD BY DEPOSITORY INSTITUTIONS AND
MONEY MARKET MUTUAL FUNOS.5 / INCLUDES U .S . TREASURY BILLS AND COUPONS WITH REMAINING MATURITY OF LESS THAN 16 MONTHS HELD BY OTHER THAN DEPOSITORY I N S T I -
TUTIONS* F*R. BANKS* AND MONEY MARKET MUTUAL FUNDS.6 / NET OF BANKERS ACCEPTANCES HELD BY ACCEPTING RANKS* F .R . BANKS* FOREIGN OFFICIAL INSTITUTIONS* THfc FEDERAL HUMt LLAN bANA
SYSTEM* AND HONEY MARKET MUTUAL FUNDS.7 / TOTAL COMMERCIAL PAPER LESS COMMERCIAL PAPER HELD BY MONEY MARKET MUTUAL FUNDS.
Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis
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H.6 (506)Table 3ACOMPONENTS OF MONEY STOCK MEASURES AND LIQUID ASSETSBHHons of dollars, not seasonally adjusted
Date
1981-NOV.DEC.
1982-JAN.FEB.MAR.
A R .MAYJUNE
JULYAUG.SEPT.
OCT.NOV.
WEEK END ING t
1982-NOV. 3101724
DEC. 18 P
15 P
Currency1
122.9125.4
123.3123.0123.8
125.6127.2128.3129.8130.0130.2
131.2132.7
131.0133.5132.7132.7
132.5134.0134.8
Travelerschecks2
4 . 14 . 1
4 . 14 . 14 . 2
4 . 24 . 34 . 7
4 . 94 . 94 . 7
4 . 54 . 2
Demand deposits
at memberbanks3
152.4156.8157.7147.3147.5
152.7147.7149.2151.0150.1152.4
155.7158.0
157.9157.4159.6154.9
159.3161.5163.2
at domesticnonmember
banks4
81.482.782.477.677.2
79.977.277.9
77.276.076.8
78.179.0
78.779.780.577.4
77.880.780.8
at foreign-relatedbankingoffices
In the U.S.*
4 . 04 . 1
3 . 93 . 93 . 8
3 . 93 . 83.73 . 73 . 63 .7
3 . 73 . 7
4 . 13 . 73 . 83 . 4
3 . 63 .73 . 6
total6
237.5243.3
243.6228.5228.2
236.122* .3230.4
231.5229.3232.5
237.1240.1
240.2240.2243.4235.3
240.2245.3247.1
Other checkable deposit*
atcommercial
banks7
60.663.4
66.965.867.4
71.467.969.2
69.370.773.4
76.179.2
77.479.879.678.779.182.682.4
at thriftinstitutions b
14.615.1
15.615.616.4
18.117.518.0
18.519.119.9
21.222*3
21.922.622.321.9
22.323.723.3
total
75.278.4
B2.S81.b63.8
89.585.487.2
87.989.893.2
97.3101.5
99.3102.3101.9100.71C1.41O6.2105.7
OvernightR P s 9
30..636.7
34.635.836.0
36.437.636.8
39.840.b
41*543.242.341.3
35.442.642.1
OvernightEurodollars ^
6.i>t . /
7 .5
6 . 3
i>.a7 . 07 . 0
7 . 06 . 96 . 5
6 . 26 . 6
6 . 45 . 87 . 07.2
6 . 36 . 36 . 7
1 / CURRENCY OUTSIDE THE U . S . TREASURY* F .R . BANKS ANO THE VAULTS OF COMMERCIAL BANKS. CXCLUOES THE ESTIMATED AMOUNT Of- VAUL1CASH HELO BY THRIFT INSTITUTIONS TO SERVICE THEIR OCD L I A B I L I T I E S .
2 / OUTSTANDING AMOUNT OF U . . " . DOLLAR -DENOMINATED TRAVELERS CHECKS OF N ON BANK ISSUERS.3 / DEMANO DEPOSITS OTHER THAN THOSE DUE TO DOMESTIC BANKS* THE U .S . GOVERNMENT AND FOREIGN B#rt'S AND OFFICIAL I N S I 1 T U I i U N i LfciS
CASH ITEMS IN THE PROCESS OF COLLECTION AND F . R . FLOAT AT MEMBER BANKS OF THE FEDERAL RESERVE SYSTEM.4 / DEMAND DEPOSITS OTHER 1MAN THOSE DUE TO DOMESTIC BANKS* THE U .S . GOVERNMENT AND FORcIGN BANKS AND OFt iCI f tL INSTITUTIONS Lf^S
CASH ITEMS IN THE PROCESS OF COLLECTION AT NONMEMBER BANKS.5 / 0EPOS1TS AS DESCRIBED IN FOOTNOTE 4 AT AGENCIES AND BRANCHES OF FOREIGN BANKS* EOGE ACT CORPORATIONS *NJ FORfclGN INVtMHENl
COMPANIES.6 / EQUALS SUM OF THREE PREVIOUS COMPONENTS LESS Thf ESTIMATED AMOUNT OF DEMAND DEPOSITS HELD AT COMMERCIAL bA,^J> BY THfclFl
INSTITUTIONS TO SERVICE THEIR OCO L I A B I L I T I E S .7 / NOW AND ATS BALANCES AT COMMERCIAL BANKS* BRANCHES AND AGENCIES OF FOREIGN BANKS* ANO EDGE ACf CGRPORAllUNS.8 / NOW AND ATS BALANCES AT SAVINGS ANO LOAN ASSOCIATIONS AND MUTUAL SAVINGS BANKS* CREDIT UNIUN SHA' UK4FT BALANCES, * *C
OEMANO DEPOSITS AT THRIFTS.9 / 1NCLU0ES OVERNIGHT ANO CONTINUING CONTRACT RPS ISSUED BY COMMERCIAL BANKS TO OTHER THAN DEPOSITOR* I N S T I T U T I O N AM) MONEY
MARKET MUTUAL FUNDS (GENERAL PURPOSE AND BR3Kf* 'DEALER).1 0 / ISSUED BY CARIBBEAN BRANCHES OF MEMAER BANKS TC U .S . RESIDENTS OTHER THAN DEPOSITORY INSTITUTION*; AND MONEY HAKKFT MolUAL
FUNDS (GENERAL PURPOSE AND BROKER/DEALER).
Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis
-
H.6 (508)Table 3A-continuedCOMPONENTS OF MONEY STOCK MEASURES AND LIQUID ASSETSBillions of dollars, not seasonally
Date
1981-NOV.DEC.
1982 -JAN.FEB.MAR.
APR.MAYJUNE
JULYAUG.SEPT.
OCT.NOV.
MEEK ENDINGS
1982-NOV.
DEC.
3101724
18 P
15 P
1 / SMALL DENOM1NATIC
i adjustedat commercial
banks
156.9157.2
158.6157.5158.4
159.5159.0158.8
158.5157.9158.1
161.3164.5
162.4164.2164.9164.8
164.9166.0170.0
N TIME DEP(
at savingsand loans
95.395.4
96.795.995.9
96.195.895.8
95.995.295.6
98.599.8
SITS INI
Savings depositsat mutual
savings banks
47.247.5
47.947.347.2
47.146.846.9
46.946.646.8
47.748.3
atcredit unions
LUDING RETAIL
42.742.8
43.543.844.7
45.345.846.4
46.946.446.9
49.451.1
total
342.2343.0
346.8344.5346.1
348.1347.4347.9
348.3346.1347.4
357.0363.7
RPS ARE THOSE 1
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