h6_19800215_note.pdf
TRANSCRIPT
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FEDERAL RESERVE statistical release
H. 6(508) February 15, 1980
Included with today's ifelease are monthly and weekly seasonal
factors for the f&a& 1980 for the Ui?i?eaicy and the demand deposits components
of the narrow indftey stock measures Jf-lA and M-1B Also included are seasonal
factors for the coifiteercial banks time and savings deposits components of the
broader aggregates,
Appendix tables attached to this release show weekly data for the
year l97 for M-1A* M-1B and related series, seasonally adjusted and notseasonally adjusted* Monthly data from 1959 to date and weekly data from1970 to date are available from the Banking Section of the Board's Division
of Research and Statistics.
Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis
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19-80 Seasonal Factors - Monthly and WeeklyCurrency and Demand Deposits Components of M-1A and M-1B and
Commercial Bank Components of the Broader Aggregates
Commercial Bank:
Monthly
1980 Jan.Feb.Mar.Apr.MayJuneJulyAug.Sept.Oct.Nov.Dec.
Weekly
1980 Jan.
Feb.
Mar.
Apr.
May
June
July
Aug.
Sept.
Oct.
Nov.
Dec.
29162330
6132027
5121926
29162330
7142128
4111825
29162330
6132027
. 3101724
18152229
5121926
3101724Tl
cCorrected:
Currency
.9930
.9880
.9910
.9970
.99801.00101.00601.0020.9980.9980
1.00701.0180
1.00601.0070.9970.9880.9760
.9900c
.9930
.9900
.9780
.9890
.9980
.9920
.9870
.99001.01001.0030.9940.9830
1.00001.0020.9980.9930
.99901.01001.0020.9960
.99901.02201.Q1001.0020.9920
1.00701.01001.0030.9920
1.00001.01001.0000.9920
.98501.00601.0040.9950.9860
1.00001.01201.00801.0040
1.01001.02201.01701.02401.0110
DemandDeposits
1.0210.9740.97801.0140.9790.9950
1.0050.9910.9980
1.00701.00701.0290
1.06501.05101.03901.0060.9800
.9890
.9840
.9700
.9540
.9820
.9830
.9830
.9620
.98701.01501.03001.0220.9940
.9860
.9830
.9750
.9660
.99101.00501.0030.9800
1.00201.01901.0150.9980.9880
.9960
.9990
.9920
.9750
.99301.00301.0120.9860
.99601.01501.01401.0020.9930
1.01501.00901.0090.993
1.01601.02201.03101.0271.0440
SavingsDeposits
.9950
.99401.00401.0100c1.00701.00401.00601.0010.9980.9960.9930.9900
.9910
.9970
.9960
.9950
.9930
.9930
.9940
.9940
.9950
.99701.00101.00401.0070
1.01201.01601.01301.00701.0040
1.00601.00801.00801.0070
1.00701.00601.00301.0010
1.00401.00801.00801.00601.0040
1.00301.00201.00101.0000
.99901.0000.9980.9960
.99801.0000.9980.9950.9920
.9920
.9910
.9930
.9940
.9930
.9940
.9910
.9870c
.9860
Smalldenominationtime deposits
.99801.00301.003Q1.00101.00401.00501.0010.9990
1.00001.0030.9920.9900
.9920
.9980
.9970
.9980
.9990
1.00101.00301.00401.0040
1.00401.00401.00401.0020
1.0010.9995
1.00001.00201.0040
1.00301.00401.00401.0040
1.00501.00501.00501.0050
1.00501.00201.00001.00001.0000
.99901.0000.9990.9980
.9990
.9990
.99901.0010
1.00201.00201.00301.00301.0030
1.0000.9940.9890.9880
.9880
.9890
.9890
.9900
.9910
Largedenominationtime deposits
1.01401.00501.0080.9920.9950.9850.9830.9940.9930
1.00101.00701.0230
1.02301.01601.01401.01301.0120
1.00701.00501.00301.0050
1.00701.00901.00701.0080
1.0060.9990.9910.9870.9880
.9890
.9920
.99801.0010
.9950
.9890
.9820
.9800
.9830
.9810
.9800
.9830
.9870
.9920
.9930
.9940
.9960
.9950
.9930
.9910
.9920
.9960
.9970
.99801.00201.0060
1.00301.00201.00501.0090
1.01301.02001.02401.02401.0230
Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis
-
FEDERAL RESERVE statistical release
H.6 (508)Table 1MONEY STOCK MEASURES AND LIQUID ASSETSBillions of dollars, seasonally adjusted uniess otherwise noted
FEBRUARY X5, 1980
Date
1979-JAN.FEB.MAR.
APR.MAYJUNE
JULYAUG.SEPT.OCT.NOV.DEC. P
1980-JAN. P
WEEK ENDING:
1979-DEC. 12 P19 P26 P
1980-JAN. 2 P9 P
16 P23 P30 P
FEB. 6 Pf? INCLur>F s M I r
M1-A
Currencyplus demand
deposits
3 5 0 . 1350.0351.9
356.2356.1360.3
363.2365.4367.5
368.0369.6371.5
372.6
369.9370.9373.2
372.4373.6372.1371.4373.1
376.8FMAMn nponcT
M1-B
MI-Aplusother checkable
deposits at banksand thrift
institutions2
360.0360.7363.9
369.7369.5374.3
378.0380.7383.2
383.9385.3387.7
389.0
386.1387.1389.4
388.8390.3388.9387.7389.1
393.0
Addenda:
Overnight RPsat commercial
banks plusovernight ^
Eurodollars 3
NSA
22.623.624.8
25.126.326.0
25.125.226.1
25.623.524.1
24.5
25.524.424.024.124.7
23.3
Money marketmutual fund
shares
NSA
1 2 . 114.516.8
19.221.824.6
28.031.233.7
36.940.443.6
49.2
M2NM-Bplus
overnight RPsand Eurodollars,
MMMF shares, andsavings and smalltime deposits at
commercial banksand thrift
institutions^
1406.51412.81425.4
1440.21448.31464.5
1476.41489.51499.7
1507.21514.51523.9
1532.7
M3
M2 plus largetime deposits
and term RPs atcommercial banks
and thriftinstitutions^
1630.01640.21652.6
1666.51674.91689.5
1702.91719.31738.2
1751.81762.51773.2
1784.6
L
M3 plus otherliquid assets6
1937.31952.81976.0
1998.12016.72043.0
2057.32074.92103.3
2115.42125.4
*R E
S E I S S U E D B Y
COMMERCIAL BANKS TO THE NON8ANK PUBLIC, ANDB Y C A R I B B E A N
BRANCHES OF MEMBER BANKS TO U . S . NONBANK CUSTOMERS.
----.. **.i^ w v/ini_f> IIIWI niuoc uuc iu uuncoiiu DANNof Inn u.o.AND OFFICIAL INSTITUTIONS LESS CASH ITEMS IN THE PROCESS OF COLLECTION ANDOUTSIDE THE TREASURYf F.R. BANKS AND THE VAULTS OF COMMERCIAL BANKS.
3/
4/
5 /
6 /
cTALi^fAND OFFICIAL INSTITUTIONS. TERM RPS ARE NET OF RPS HELD BY MONFY MARKFT MIITIIAI cuwnc
* CORRECTED SERIES.
Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis
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H.6(508)Table 1AMONEY STOCK MEASURES AND LIQUID ASSETSBillions of dollars, not seasonally adjusted
Date
1 9 7 9 - J A N .FEB.MAR.
APRILMAYJUNE
JULYAUG.SEPT.
OCT.NOV.DEC. P
1 9 8 0 - J A N . P
WEEK ENDING:
1 9 7 9 - D E C . 12 P19 P26 P
1 9 8 0 - J A N . 2 P9 P
16 P23 P30 P
FEB. 6 P
M1-A
Currencyplus demand
deposits 1
354.7342.2345.5
359.5350.5359.3
365.1363.2367.0
369.7372.2381.1
377.4
378.1380.7381.9
390.3387.9382.1371.7365.2
372.7
M1-B
MI-Aplusother checkabledeposits at banks
and thriftinstitutions2
364.7353.0357.5
373.0363.9373.4
379.9378.63b2.7
385.5387.8397.3
393.8
394.3396.9398.1
406.7404.6398.9388.0381.2
389.0
Addenda: !
Overnight RPsat commercial
banks plusovernight ^
Eurodollars3
22.623.624.8
25.126.326.0
25.125.226.1
25.623.524.1
24.5
25.524.424.024.124.7
23.3
Money marketmutual fund
shares
1 2 . 114.516.8
19.221.824.6
28.031.233.7
36.940.443.6
49.2
M2M1-Bplus
overnight RPsand Eurodollars,
MMMF shares, andsavings and smalltime deposits at
commercial banksand thrift
institutions4
1409.01404.31422.2
1448.51445.51466.8
1482.21486.81498.2
1507.11509.91526.0
1536.1
M3
M2 plus largetime deposits
and term RPs atcommercial banks
and thriftinstitutions^
1634.61632.21650.5
1673.11671.11689.4
1706.11716.31736.1
1752.41759.11778.8
1789.9
L
M3 plus otherliquid assets^
1943.01948.71976.1
2006.02013.92041.7
2059.22071.02094.6
2113.62123.8
NOTE: SEE TABLE 1 FOR F0OTNOTES.
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
JAN.
OCT.
JULY
JAN.
FOURFROM
NOV.
AUG.
FEB.
FROM
1979
1979
1979
WEEKSFOUR
7,
8 ,
7 ,
Date
:
( 3 MONTHS PREVIOUS)
( 6 MONTHS PREVIOUS)
( 12 MONTHS PREVIOUS)
ENDING: FEB. 6 , 1980WEEKS ENDING:
1979 ( 1 3 WEEKS PREVIOJS)
1979 ( 2 6 WEEKS PREVIOJS)
1979 ( 5 2 WEEKS PREVIOUS)
M1-A
Currencyplus demand
deposits 1
5 . 0
5 . 2
6 . 4
5 . 1
5 . 2
6 . 7
M1-B
MI-Aplusother checkable
deposits at banksand thrift
institutions2
5 . 3
5 . 8
8 . 1
5 . 4
5 . 6
8 . 3
M2M1-Bplus
overnight RPsand Eurodollars,
MMMF shares, andsavings and smalltime deposits at
commercial banksand thrift
institutions^
6 . 8
7 . 6
9 . 0
M3
M2 plus largetime deposits
and term RPs atcommercial banks
and thriftinstitutionsS
7 . 5
9 . 6
9 . 5
NOTE: SEE TABLE 1 FOR FOOTNOTES.
Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis
-
H.6 (506)Table 3COMPONENTS OF MONEY STOCK MEASURES AND LIQUID ASSETSBillions of dollars, seasonally adjusted unless otherwise noted
1 9 7 9 J A N .FEB.4AR.
APR.MAYJUNE
JULYAUG.SEPT,
OCT.NOV.DEC.
1 9 8 0 J A N .
Date
P
P
WEEK ENDING:
1979DLC.
19bOJAN.
FEB.
121926
29
162330
6
PPP
PPPPP
P
Currency1
98.298.999.6
100.2100.8101.7
102.6103.7104.8
105.4105.9106.1
107.3
106.0106.3106.4
106.5107.2107.1107.3107.7
108.1
Demanddeposits2
251.9251.1252.3
256.0255.2258.5
260.6261.7262.7
262.7263.7265.4
265.3
263.9264.6266.7
265.9266.4265.0264.1265.4
268.6
Othercheckabledeposits3
NSA
9 . 910.812.0
13.513.414.1
14.815.315.7
15.815.716.2
16.5
16.116.216.2
16.416.716.816.316.0
16.3
OvernightRPs(net) 4
NSA
20.320.922.0
22.423.523.1
22.021.922.6
11.120.320.6
20.3
20.020.220.4
21.6ZQ.220.119.820.4
20.1
OvernightEuro-
dollarsS
NSA
2.32.62.8
2.62.82.9
3.03.33.5
3.43.23.5
4 . 2
3.94.14.04.34.2
3 . 2
Moneymarketmutualfunds6NSA
1 2 . 114.516.8
19.221.824.6
28,031.233.7
36.940.443.6
49.2
Savings depositsat
commercialbanks
2 1 2 . 5209.9207.8
206.6205.5206.4
206.6206.5204.9
202.1197.1195.5
193.6
195.9195.6195.0
194.9195.1193.8192.9192.5
192.2
atthrift
institutions
255.5250.7249.1
246.0243.3243.8
244.4243.8240.4
233.9225.1222.4
^19.6
total
468.0460.6456.9
452.6448.9450.2
451.0* 5 0 . 3445.3
435.9422.2417.8
413.2
Small denomination time deposits7at
commercialbanks
193.6
198.1
202.6206.7211.0
214.1218.1221.6
226.7235.1238.5
243.7
238.2239.0239.4
240.0240.9242.2245.2247.3
246.9
atthrift
institutions
352.7360.3367.4
373.7377.8381.0
382.9386.5392.5
400.9410.8414.8
415.8
total
546.3555.9565.6
576.3584.5592.0
597.0604.6614.2
627.3645.8653.4
659.4
1/
2/
3/
4/
5/6/7/
C U R K E N C Y OUTSIDE THE U.S. TREASURY, F.R. BANKS AND VAULTS OF COMMERCIAL BANKS.JEMAND DEPOSITS AT COMMERCIAL BANKS AND FOREIGN RELATED INSTITUTIONS OTHER THAN THOSE DUE TO DOMESTIC BAiMKS, THE U.S.AND FOREIGN BANKS AND OFFICIAL INSTITUTIONS LESS CASH ITEMS IN THE PROCESS UF COLLECTION AND F.R. FLOAT.INCLUDES ATS AND NOW BALANCES AT ALL INSTITUTIONS, CREDIT UNION SHARE DRAFT BALANCES ANJ DEMAND DEPOSITS AT MUTUAL SAVINGSBANKS.INCLUDES OVERNIGHT AND CONTINUING CONTRACT RPS ISSUED TO THE NONBANK PUBLIC BY COMMERCIAL BANKS, NET OF AMJUNTS HELD BY MONEYMARKET MUTUAL FUNDS.ISSt)D BY CARIBBEAN BRANCHES OF U.S. MEMBER BANKS TO U.S. NONBANK CUSTOMERS.TOTAL MONEY MARKET MUTUAL FUND SHARES OUTSTANDING.SMALL DENOMINATION TIME DEPOSITS ARE THOSE ISSUED IN AMOUNTS OF LESS THAN SIQO.OOO.
Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis
-
H.6 (508)Table 3continuedCOMPONENTS OF MONEY STOCK MEASUME8 AMD LIQUID ASSETSBillions of dollars, seasonally adt
Date
1979JAN.FEB.tfAR.
APR.*1AYJUNE
JULYAUG.SEPT.
JCT.NOV.DEC. P
1980JAN. P
WEEK ENDING:
1979DEC. 12 P19 P26 P
1980JAN. 2 P9 P
16 P23 P30 P
FEB. 6 P
uyfed unless otherwise notedL&ffli denomination time &&**& 1
at commercialbenks2
180.4183.2181.9
179.9178.1175.0
175.6177.5183.3
187.8190.1188.8
190.0
189.4188.9189.5
187.7188.0190.4190.2189.8
192.1
at thriftinstitutions
17.017.818.1
18.519.220.4
21.822.924.1
25.928.230.3
31.9
total
197.4200.9200.0
198.4197.3195.4
197.4200.4207.4
213.6218.3219.1
221.9
ateommensialbanksNSA
20.220.821.5
21.923.122.9
21.921.922.9
22.721.522.2
22.2
21.621.822.0
23.222.122.021.822.5
22t3. .
Term HP*3at thrift
institutionsNSA
5.95.75.7
6 .06.26 .6
7 .17.68 .1
8.38.28.0
7 . 9
totalNSA
26.126.527.2
27.929.329.5
29.029.531.1
31.029*730.2
30.1
TermEurodollars
(net)4NSA
24.427.128.4
29.129.629.9
31.333.833.6
33.534.5
Savingsbonds
80.680.o80.5
80.680.680.4
80.080.080.6
82.280.3
Short-termTreasurysecurities^
98.8100.4108.2
114.2122.3131.2
128.8123.2128.6
124.4123.5
Banker'sacceptances^
22.421.321.3
21.121.0?, i . 5
22.625.026.6
27.228*6
Commercialpaper7
81.283.185.0
8 6 . 08 8 . 2
91 o 393.695.7
96.496*0
1/ LARGE DENOMINATION TIME DEPOSITS ARE THOSE ISSUED IN AMOUNTS OF $100,000 OR MORE.2/ LARbE DENOMINATION TIME DEPOSITS AT COMMERCIAL BANKS LESS LARGE TIME HELD BY MONEY MARKET MUTUAL FUHDS AND THRIFT INSTITUTIONS.3/ TERM RPS ARE THOSE WITH ORIGINAL MATURITY GREATER THAN ONE DAY AND EXCLUDE CONTINUING CONTRACTS.4/ TERM EURODOLLARS ARE THOSE WITH ORIGINAL MATURITY GREATER THAN ONE DAY NET OF TERM EURODOLLARS HELD BY MONEY MARKET MUTUAL
FUNDS.5/ INCLUDES U.S. TREASURY BILLS AND COUPONS WITH REMAINING MATURITY OF LESS THAN 18 MONTHS HELD BY THE NONBANK PUBLIC LESS SUCH
SECURITIES HELD BY MONEY MARKET MUTUAL FUNDS.6/ NET OF BANKER'S ACCEPTANCES HELD BY ACCEPTING BANKS, F.R. BANKS, FOREIGN OFFICIAL INSTITUTIONS, THE FEDERAL HOME LOAN BANK
SYSTEM, AND MONEY 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
-
H.6 (506)Table 3ACOMPONENTS OF MONEY STOCK MEASURES AND LIQUID ASSETSBillions of dollars, not seasonally adjusted -
Date
1 9 7 9 J A N .FEB.MAR.
APR.MAYJUNE
JULYAUG.SEPT.
OCT.NOV.DEC. P
1 9 8 0 J A N . P
WEEK ENDING:
1 9 7 9 D E C . 12 P19 P26 P
1 9 8 0 J A N . 2 P9 P
16 P23 P30 P
FEB. 6 P
Currency 1
97.597.798.7
99.9100.6101.8
103.2103.9104.5
105.2106.6108.0
106.5
108.1108.2109.3
107.1107.9106.7106.0105.1
107.1
Demand deposits
at memberbanks2
168.5159.1160.4
168.5161.2166.1
169.3167.4168.2
169.2169.7175.6
173.7
172.6175.0176.3
182.8179.6176.4169.9167.1
169.8
at domesticnonmember
bank$3
83.380.581.2
86.283.686.0
87.286.588.6
89.389.991.8
91.1
91.892.091.3
94.294.792.989.486.7
89.4
at foreign-relatedbankingoffices
in the U.S.*
5.44.95.2
4.95.15.5
5.45.45.7
5.96.05.6
6 . 1
5.65.65.1
6.25.86.06.46.3
6 . 5
total
257.2244.6246.8
259.6249.9257.5
261.9259.3262.4
264.5265.6273.1
270.9
270.0272.6272.6
283.2280.0275.4265.7260.1
265.7
Other checkable deposits
atcommercial
bank$5
6 . 87 . 78.8
10.19.9
10.5
11.211.611.9
12.011.812.2
12.4
12.212.212.1
12.412.712.812.312.0
12.2
at thriftinstitutions 6
3 . 13 . 13 . 2
3 . 43 . 53 . 6
3 . 73 . 83 . 8
3 . 93 . 94 . 0
4 . 0
4 . 04 . 04 . 0
4 . 04 . 04 . 04 . 04 . 0
4 . 0
total
9 .910.812.0
13.513.414.1
14.815.315.7
15.815.7lb.2
16.5
16.116.216.2
16.416.716.816.316.0
16.3
OvernightRPs(net)7
20.320.922.0
ZZ.h23.523.1
22.021.922.6
ZZ.Z20.320.6
20.3
20.020.220.4
21.620.220.119.820.4
20.1
OvernightEurodollars
2.32.62.8
Z.8za2 .9
3 .03 .33 .5
3.43 .23 .5
4 . 2
3 .94 . 14 . 0^ . 34 . 2
3 . 2
Money marketmutual funds 9
12 .114.516.8
19.221.824.6
28.031.233.7
36.940.443.6
49.2
1/ CURRENCY OUTSIDE THE U.S. TREASURY, F.R. BANKS AND THE VAULTS OF COMMERCIAL BANKS.2/ DEMAND DEPOSITS OTHER THAN THOSE DUE TO DOMESTIC BANKS, THE U.S. GOVERNMENT AND FOREIGN BANKS AND OFFICIAL INSTITUTIONS LESS
CASH ITEMS IN THE PROCESS OF COLLECTION AND F.R. FLOAT AT MEMBER BANKS OF THE FEDERAL RESERVE SYSTEM.3/ DEMAND DEPOSITS OTHER THAN THOSE DUE TO DOMESTIC BANKS, THE U.S. GOVERNMENT AND FOREIGN BANKS AND OFFICIAL INSTITUTIONS LES3
CASH ITEMS IN THE PROCESS OF COLLECTION AT NONMEMBER BANKS.4/ DEPOSITS AS DESCRIBED IN FOOTNOTE 3 AT AGENCIES AND BRANCHES OF FOREIGN 3ANKS, EDGE ACT CORPORATIONS AND FOREIGN INVhSTMENT
COMPANIES.5/ NOW AND ATS ACCOUNTS AT BANKS.6/ NOH ACCOUNTS AT THRIFT INSTITUTIONS, CREDIT UNION SHARE DRAFT BALANCES AND DEMAND DEPOSITS AT MUTUAL SAVINGS BANKS.7/ INCLUDES OVERNIGHT AND CONTINUING CONTRACT RPS ISSUEO TO THE NONBANK PUBLIC BY COMMERCIAL BANKS NET OF AMOUNTS HELD BY MONEY
MARKET MUTUAL FUNDS.8/ ISSUED BY CARIBBEAN BRANCHES OF U.S. MEMBER BANKS TO U.S. NONBANK CUSTOMERS.9/ TOTAL MONEY MARKET MUTUAL FUND SHARES OUTSTANDING.
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 seasonal!
Date
1979JAN.FEB.MAR.
APR.
JUNE
JULYAUG.SEPT.
OCT.NOV.DEC. P
1980JAN. P
WEEK ENDING:
1979DEC. 12 P19 P26 P
1980JAN. 2 P9 P
16 P23 P30 P
FEB. 6 P
v adjustedat commercial
banks
211.5208.7208.6
208.5206.9207.2
207.7206.7204.5
201.3195.8193.6
192.7
194.2193.6192.8
193.3194.6193.1192.0191.2
190.9
at savingsand loans
134.8132.0132.1
131.2129.9131.0
132.1131.4129.4
124.8119.6118.1
116.5
Savings depositsat mutual
savings banks
69.568.067.8
67.266.566.7
66.765.965.0
63.060.760.0
59.3
atcredit unions
49.248.348.8
48.447.548.0
47.947.246.7
45.543.943.3
42.2
total
465.1457.1457.2
455.3450.9452.9
454.4451.1445.6
434.6420.0415.0
410.7
Small denomination time deposits1at commercial
banks
193.0196.2198.7
202.8207.5212.0
214.3217.9221.6
227.1233.2236.4
243.2
235.6236.2237.3
238.1240.4241.4244.7247.1
247.1
at savingsand loans
283.3289.1294.3
298.3299.2301.1
302.9304.0307.9
314.4319.5322.4
325.7
at mutualsavings banks
69.070.972.4
73.473.673.8
74.074.375.4
77.178.779.5
80.5
atcredit unions
1.82.43.0
4.05.05.6
6.37.17.9
8.79.5
10.3
11.1
total
547. 1558.6568.4
578.5585.3592.5
597.4603.3612.7
627.3640.8648.7
660.6
1/ SMALL DENOMINATION TIME DEPOSITS ARE THOSE ISSUED IN AMOUNTS OF LESS THAN $100t000.
Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis
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H.6 (508)Table 3A-continuedCOMPONENTS OF MONEY STOCK MEASURES AND LIQUID ASSETSBillions of dollars, not seasonally adjusted
Date
1 9 7 9 J A N .FEB.MAR.
APR.MAYJUNE
JJLYAUG.SEPT.
OCT.NOV.DEC. P
1 9 8 0 J A N . P
WEEK ENDING:
1979DEC. 12 P19 P26 P
1 9 8 0 J A N . 2 P9 P
16 P23 P30 P
FEB. 6 P
Large denomination time deposits1at
commercialbanks?
182.9184.1183.3
178.5177.2172.4
172.6176.4182.0
188.0191.4193.1
192.7
193.6193.4193.8
192.0191.1193.1192.7192.1
193.5
at savingsand loans
14.815.515.9
16.317.118.6
20.121.322.4
23.825.426.8
28.3
at mutualsavingsbanks
1.81.81.8
1 .92 . 02 . 1
2.22.32.4
2.52.62.7
2.B
total
199.5201.4201.1
196.7196.3193.1
194.9200.0206.8
214.2219.5222.6
223.8
Term RPs3at
commercialbanks
20.220. 821.5
21.923.122.9
21.921.922.9
22.721.522.2
22.2
21.621.822.0
23.222.122.021.822.5
22.3 j
at thriftInstitutions
5 . 95 . 75.7
6.06.26.6
7.17.68.1
8.38.28.0
7 . 9
total
26 .126.527.2
27.929.329.5
29.029.531 .1
31.029.730.2
30.1
TermEurodollars
(net)4
24.427.128.4
29.129.629.9
31.333.833.6
33.534.5
Savingsbonds
80.680.680.6
80.680.680.6
80.680.680.6
80.580.3
Short-termTreasurysecurities^
1 0 0 . 7102.8109.6
115.2122.1129.0
126.5122.2123.9
124.7125.4
Banker'sacceptances^
21.622.322.0
21.521.521.8
22.525.326.7
27.127.6
Commercialpaper7
81.083.785.0
86.689.091.1
92.292.693.8
95.497.1
1/ LARGE DENOMINATION TIME DEPOSITS ARE THOSE ISSUED IN AMOUNTS OF $100f000 OR MORE.2/ LARGE DENOMINATION TIME DEPOSITS 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 AND EXCLUDE CONTINUING CONTRACTS.4/ TERM EURODOLLARS ARE THOSE tflTH ORIGINAL MATURITY GREATER THAN ONE DAY NET OF TERM EURODOLLARS HELD BY MONEY MARKET MUTUAL
FUNDS.5/ INCLUDES U.S. TREASURY BILLS AND COUPONS WITH REMAINING MATURITY OF LESS THAN 18 MONTHS HELD BY THE NONBANK PUBLIC LESS SUCH
SECURITIES HELD BY MONEY MARKET MUTUAL FUNDS.6/ NET OF BANKER'S ACCEPTANCES HELD BY ACCEPTING .BANKS, F.R. BANKS, FOREIGN OFFICIAL INSTITUTIONS, THE FEDERAL HOME LOAN BANK
SYSTEM, AND MONEY 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 (508)Table 4MEMORANDA ITEMSBillions of doltan, not seasonally adjusted
1 9 7 9 - J A N .FEB.MAR.
APR.MAYJUNE
JULYAUG.SEPT.
OCT.NOV.DEC.
1980-JAN.
Date
P
P
WEEK ENDING:
X 9 7 9 - - D E C .
1980JAN.
FEB.
12 P19 P26 P
2 P9 P
16 P23 P30 P
6 P
Demand deposits at banks due to
foreign commercialbanks
10.310.29.7
9.510.110.6
11.010.711.3
11.411.512.0
11.7
12.011.412.4
12.111.612.310.612.0
11.8
foreign officialinstitutions
2.62.72.7
2.83.13.2
3.02.92.7
2.63.13.3
3.4
3.73.33.1
3.23.33.53.43.5
3.2
Time and savingsdeposits due to
foreign commercialbanks and foreign
official institutions
1 1 . 61 1 . 010.9
10.510.09.9
9.79.59.7
9.28.79.5
9 . 2
9.39.79.7
9.79.89.18.98.8
8 . 8
U.S.demand deposits at
commercial banks
2.62.52.5
2.62.43.5
Z.Z2.32.7
2.12.Z2.5
2 . 8
2.43.32.1
2.53.22.43.22.5
2 .9
Federal ReserveBanks
3 . 43.53.1
2.83.33.3
3.33.03.9
3.33.03.0
3 . 1
3.12.63.1
3.62.83.33.13.0
3 . 0
government depositsnote balances at
commercialbanks and thrift
institutions
9 . 55.94.1
2.76.07.3
11.07.59.7
9.63.36.9
9 . 6
2.04.7
12.9
12.67.16.0
10.314.2
10.2
total demanddeposits andnote balances
1 5 . *1 1 . 99.6
8.211.714.1
16.512.816.3
15.08.6
12.5
15.5
7.510.618.0
18.713.111.716.519.7
16.0
time andsavings deposits atcommercial banks
1.01 .00 . 9
0 . 91 .01.0
1 .01 .01.0
1.01 .01.0
1 . 0
1.01.01 .0
1.01 .01.00.90.9
0 . 9
Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis
-
Appendix Table 1MONEY STOCK MEASURES AND COMPONENTS
(BILLIONS OF DOLLARS)
SEASONALLY ADJUSTED
WEEKLY
NOT SEASONALLY ADJUSTED
1 1
1979 JAN 3 . . . !JAN 1 0 . . .JAN 1 7 . . .JAN 2 4 . . *JAN 3 1 . . .FEB 7 . . .FEB 1 4 . * .FEB 2 1 . . .FEB 2 8 . . .MAR 7 . . .MAR 1 4 . . .MAR 2 1 . . .MAR 2 8 . . .APR 4 . . .APR 1 1 . . .APR 1 8 . . .APR 2 5 . . *MAY 2 . . *MAY 9 . . .MAY 1 6 . . .MAY 2 3 . . .MAY 3 0 . . .JUN 6 . . .JUN 1 3 . . .JLJN 2 0 . . .JUN 2 7 . . .JUL 4 . . .JUL 1 1 . . .JUL 1 8 . . .JUL 2 5 . . .AUG 1 . . .AU6 8 . . .AUG 1 5 . . .AUG 2 2 . . .AUG 2 9 . . .SEP 5 . . .SEP 1 2 . . .SEP 1 9 . . .SEP 2 6 . . .OCT 3 . . .OCT 1 0 . . .OCT 1 7 . . .OCT 2 4 . . .OCT 3 1 . . .NOV 7 . . .NOV 1 4 . . .NOV 2 1 . . .NOV 2 8 . . .DEC 5 . . .
1M-1A 1
1352.1 1350.3 I350.0 1349*1349.0 |351.0349.0350.6348.8 1
1 352.4 I351.2
I 352.01 351.91 353.9I 354.7I 357.11 356.7! 355.91 356.2i 356.31 356.31 355.6! 360.9
359.2360.2361.1361.5362.9363.8363.3363.9364.6365.4365.9365.6367.1367.2367.5367.7368.2368.0368.0367.9367.6
1 371.2369.1370.7367.9369.6
M-1B
361.3360.0360.1359.2357.2361.5359.7361.4359.9364.1363.0364.0364.1366.8368.0370.8370.3369.8369.6369.5369.7369.0374.8373,3374*4374.9375.9377.6378.7378.2
I 379.0379.9380.7381.3380.9382.8
I 383.1383.3
1 383.1383.9
1 383.9! 384.01 383.71 383.31 386.81 384.8I 386.3
383.5385.7
CURRENCY \
97.998 .198 .1
I 98.39fr.5
I 98.798.798.9
. 98.299.399.399.6
1 99.999.9
1 99.9100.3100.3100.4100.5
1 100.7100.9
1 101.3! 101.4f 101.5
101.7102.0
1 102.1102.3
! 102.5102.8
1 103.11 103.41 103.61 103.9i 104.1! 104.3i 104.6! 104.81 105.01 105.11 105.31 105.41 105.51 105.51 105.91 105.9I 105.9I 106.01 105.7
DEMAND 1DEPOSITS 1
I 2 5 4 . 1 i1 2 5 2 . 2 S
251.9 I250.8 1250.5 1252.3 |
I 250.3 |251.6 (
i 250.7 i[ 253.0 I251.9 |252.4 |
1 252.1 1I 254.0 !1 254.8 i
256.9 j1 256.4 I1" 255.-5 I
255.7 I255.6 I
1 255.4 I1 254.3 !1 259.4 1! 257.7 I1 256.5 f1 259.1 !! 259.3 !1 260.5 |i 261.4 !1 260.5 11 260.6 i! 261.3 11 261.6 |1 262.1 i! 261.5 |1 262.8 I1 262.7 i1 262.7 I1 262.7 i1 263.1 |1 262.6 11 262.6 i1 262.5 \1 262.1 |1 265.2 I\ 263.3 [1 264.8 |1 261.9 f
I M-1A
I 372.11 363.1i 359.0I 347.0} 341.01 347.4i 344.6I 340.7i 336.11 347.8I 346.61 345.61 340.21 352.5i 359.31 366.0I 359.2I 354.71 352.3i 352.8I 348.2I 346.5I 360.9I 361.4! 359.4! 354.8! 364.5! 369.2S 368.4I 360.7i 361 .3I 364.8[ 366.4I 363.21 357.9I 367.9i 370.3( 368.7I 360.8S 368.81 373.5i 372.31 366.3I 365.61 375.5I 373.91 371.61 367.4
I 263.9 1! 375.8
11M-1B 1
J381.3 1372.8369.0 1357.1351.2357.9 I355.3 I351.5347.2 1359.5358.4357.5352.3365.4372.6379.7
i 372.81 368.6
365.7366.1361.5
! 359.9374.8375.5
I 373.6368.6379.0383.9383.3375. fcS76.4
\ 360.11 381.7
376.51 373.2! 383.6
386.2I 364.5
376.2; 364.5I 389.4! 388.3! 382.01 381.21 391.21 339.5I 387.1E 383.1I 391.8
CURRENCY !
98.6 |98.897.7 J97.096.297.997.8 -j97.8 497.099,098,798.7.51CK.810 A. 3
106.5106.9106.8
1 106.3! 1J6.9
DEMAND IDEPOSITS
1
273.4 1264.3 1261.2 1250.0 I244.8 1249.5 1246.8 I242,8239.2 !248.7 |247.9246.9242.0 1253.2 ]258.6265.6 i260.0255.5251.1252.0247.7
1 245.9258.9259.2
1 257.71 253.6
261*6265.2
! 265.01 257,91 258.7I 260.2f 262.01 255.2i 255.01 262.81 265.3! 26^.31 257.21 264.4! 267.11 266.8I 261.4i 261.3I 269.01 267.01 264.81 261.1! 268.9
OTHER 1CHECKABLE I
DEPC&1IS-I9.2 I9.7 |
10.1 i10.1 |10.2 )10.5 I10.6 |10.8 |U.I 11 1 . 7 I11.8 |12.0 i12.2 I12.9 I13.3 I13.7 |13.6 I13.9 i13.3 I13.2 \13.4 t13.4 S14*0 114.1 {14.2 \13,3 {14.5 }14*7 j14*9 \14.9 115.0 {
i 15,3 !\ 15.3 |[ 15*3 1\ 15.3 1: 15.7 I
15.9 \\ 15*8 I1 15.4 |\ 15.7 I1 15.9 [[ 16.0 J1 15.7 f1 15.7 |i 15.7 I! 15.6 I! 15.6 |! 15.7 If 16.0 1
Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis
-
Appendix Table 2OTHER MONEY STOCK COMPONENTS
(BILLIONS OF DOLLARS!WEEKLY
1S79 JANJANJANOANJANFEBFEBrBFEBMARMARMARMARAPRAPRAPRAPRMAYMAYMAYMAYMAYJUNJONJUNJUNJLLJULJULJULAUGAUGAUGAUGAUGSEPSEPSEPSEPOCTOCTOCTCCTOCTNOVNOVNCVNOVDEC
3 . . .1 0 . . .1 7 . . .2 4 . . .3 1 . . .
7 . . .1 4 . . .2 1 . . .
7 . . .1 4 . . .2 1 . 2 8 . . .
4 . . .n:..1 8 . . .2 5 . . .
2 . . .9 . . .
1 6 . . ,2 3 . . .3 0 . . .
6 . . .1 3 . . .2 0 . . .2 7 . . .
4 . . .1 1 . . .18. . .2 5 . . .
1 . . .8 . . .
1 5 . . .2 2 . . .2 9 . . .
5 . . .1 2 . . .1 9 . . .2 6 . . .
3 . . .1 0 . . .1 7 . . .2 4 . . .3 1 . . .
7 . . .1 4 . . .2 1 . . .2 8 . . .
5 . . .
COMMERCIAL
SEASONALLY ADJUSTED
SAVINGS
214.8213.6212.2211.4210.9210.1209.8209.4208.8208.1207.8207.3207.0207.0206.9206.2206.0
I 205.4205.5205.3205.2205.3205.8206.2206.5206.8
I 206.8207.1207.1207.0206.7207.1207.2206.9
1 206.9206.4
1 206.41 205.5! 204,7
204.2204.0203.4202.1200.5197.9197.6
I 197.1196.4195.7
1 SMALLTIME
192.8192.6193.3193.8194.4
1 195.1195.5 I195.8 ]196.0196.7197.5 1198.3199.2200.1201.5202.5203.6204.6205.3206.2207.3208.1209.5210.3211.5211.7212.0
1 213.2. 214.2
214.9215.9216.8
1 217.4218.8
1 219.51 219.8
221.11 221.7
222.6223.8225.1
1 225.7227.3229.1232.9234.8235.9236.6237.6
BANK
LARGETIME
177.9178.6180.5181.7182.2182.0183.1183.7184.3183.1182.7181.5180.8180.3180.6179.8179.6179.3179.1178.7178.0177.1175.0174.5174.7175.7176.8175.6175.2175.1176.2176.6177.1177.5178.8180.6181.2183.7185.3186.6187.6188.0187.6188.4188.8190.2191.4190.7190.2
TIME L
1
1
11
1
1
11
SAVINGS
SAVINGS
213.2213.0211.4210.4209.3208.8208.7208.3207.8207.8208.2208.1208.6209.5210.2208.2207.1205.9206.8206.8206.7206.7207.1207.4206.8207.0207.7208.8208.5208.0207.3207.7207.6207.1206.7206.4206.4204.9203.8204.0204.2202.8201.2198.6196.6196.3195.8195.1194.3
DEPOSITS
NOT SEASONALLY11 SMALL1 TIME
I 191.6! 192.01 192.81 193.6
194.2195.3196.1196.6196.8197.5 I198.3198.9199.4200.5201.5202.7204.0205.0206.1207.0208.0209.2210.5
1 211.6212.6212.8213.0213.4214.2214.9215.9216.6217.4218.3219.0 ]219.5220.6
1 221.5222.8224.3
1 225.51 226.41 228.01 229.8
232*4I 233.11 233.1
233.7 I1 235.0
J&JUSZiL
LARGETIME
181.8181.3182.8184.1184.4183.1184.0184.2185.3184.6184.4 j182.6182.5181.2180.0177.8 I177.1 |177.4177.1177.5 1177.8177.3 !173.6 |172.2171.2172.3174.0 I172.2171.7172.3174.1 1175.4 |175.7176.4178.2 1179.5 !179.9182.0184.0186.0187.0187.9188.4189.3 |189.4190.6192.9192.4193.0
OVERNIGHT 1RP"S !
20.3 I19.8 I20.3 |
I 21.0 |21.2 |20.6 121.7 !20.4 I21.4 |20.8 I21.8 !21.9 f22.2 I21.3 21.1 |21.9 323.0 S22.9 122.7 I23.8 (22.7 I23.3 ?23.6 |23.5 12'2*5 !22.8 122*1 I20.5 |23.1 |22.4 !22.3 |21.2 122.4 |21.3 |22.3 !22.8 I22.6 I22.7 |23.3 |23.0 |22.6 !22.0 |21.8 I22.1 j21.3 |20.0 |19.8 |19.8 I21.2 |
Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis