-
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
' ' S i T t t ^
H 6
Tt>l 1
MONEY STOCK MEASURES For Immediate Release INJMLU0N8 Or DOLUAM ;
February 6. 1975
1 1 Mj Ma 1 Ml i Mj I M| Date M1 plus time deposits M2 plus
deposits Mj plus time deposits Mjplus deposits Date Currency
plus
demand deposits*' at commercial banks at nonbanh I Currency plus
at commercial banks at nonbank Currency plus
demand deposits*' other than large thrift Institutions4' j
demand deposits^ i other than large 1 CD's^ thrift
institutionsv
Seasonally Adjusted '* ot Seasonally Adjusted 1973Dec 271.5
572.2 895.3 279.1 577.3 1 898.5
1971Jan. 270.9 575.5 900.7 1 277.8 581.4 905.9 F e b . 273.1
580.8 907.7 270.2 578.5 905.4 Mar. 275.2 1 585.5 914.9 1 272.5
584.9 915.7 Apr. 276.6 1 589.4 920.5 278.2 593-5 926.7 May 277.6
591.5 923.0 272.9 589.6 922.6 June 179.7 596.7 929.5 277.9 596.1
930.8 July 2*80.2 599.4 933.4 ! 279.7 599.0 934.5 Aug. 280.5 602.0
936.6 277.3 598.5 932.6 Sept. 280.8 603.6 938.9 i 279.0 600.4 934.6
Oct. 281.7 607.8 944.3 281.2 605.9 941.1 Nov. 283.3 612.6 951.1
284.8 610.8 946.9 Dec. p 283.8 613.9 955.0 291.7 619.0 958.2
1974Dec. 4 285.9 614.9 288.8 614.1 11 i 284,7 614.4 290.3 616.7
18 p 283.4 1 613.4 291.5 618.6 25 P 282.8 613.8 291.6 619.9
1975Jan. 1 p 283.6 613.9 295.6 624.1 8 p 281.5 614.0 1 295.6
626.4
15 P 281.6 615.7 292.2 624.9 22 p r 281.8 r 615.9 r 287.2 620.2
29 P 280.9 615.7 280.4 614.6
y includes (1) demand deposits at all commercial banks other
than those due to domestic commercial banks and the U S Government
leas cash items m the process of colteclion 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
banks
** includes tn addition to currency and demand deposits 3avjngs
deposits time deposits open account and time certificates of
deposits other than ^ P r e l i m l n a f V negotiable time
certificates of deposit issued in denominations ot $100 000 or more
by large weekly reporting commerclat banks P 1 A
*f Includes Mj P'us 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 Statistic*! Release H 6
MONEY STOCK* MEASURES PER CENT CHANGE AT SEASONAltY ADJUSTED
ANNUAL RATES
mmmmm~amamasmumBmms^^^mmam---*rMnwm\wimi*nm\\ii u ^ | *i n 2 M3
Penod Currency plus
tiemarsd deposits^ - i m ^ i m - i - n r o i i i m 1 j _ J i
l
M'i plus time deposits at commercial banks
other than large CD'S V
M? plus deposits at nonbank
thnft institutions3'
December from:
Sept 197^ (3 months previous) June L97*l (6 months previous)
Dec. 1973 (12 months previous)
Four weeks ending: *Jan. 29 * 1975 \ from four weeks ending:
Oct. 30, 197^ (13 weeks previous) July 31, 1974 (26 weeks
previous) Jan. 30, 1974 (52 weeks previous)
1.3-2.9 4.5
-0.1 i 1.1 ! 4.0
1 1 11 ...iimMmaaaawBiaauMtf*
6.8 5.8 7.3
5.0 i 5.3
7>0
aaMtttfa^WMaiiiifridb^Mw^BiiiTi - - \ n nam mini 1
6.9
6.7
\limm\mm\tmmmmmm\i\ |i i HIIIIPWWIIH n i i
/ mr tudp^ (1) demand deposits at all commercial banks other
than those duz to domestic.cofflStefCiai Banks and the U Government
lefcs cash Items irt the procpss ot col lect ion and F R float
f2> loreign demmd balances at F R Banks and (3> cu f^ncy
oui5tdp the Treasury F R Banks and vaults of all commercial
banks
J tnr udps m add-hon to c u ^ n c y and demand deposits savings
deposits time deposits dfcfrt ao\jffi and time certificates of
deposits other than
neqoii ibi? hme COM.heater ot deposit issued in denominations oJ
$100 000 or more by m$$ weiSKlV f$P5ftmg commercial banks ^ nC
"ode- M2 piu*; ihc avenge of the beginning and end 0! month
deposits ot mutual savings battkS arid savings and loan shares
No'* A i i r i i f , of chanoe are baspd on daily average data
rates ot change are not compounded
Digitized for FRASER http://fraser.stlouisfed.org/ Federal
Reserve Bank of St. Louis
-
FEDERAL HtstHVt statistical rielease H.6 Tdbto 3
COMPONENTS OF MONEY STOCK MEASURES AND RELATED ITEMS SEASONALLY
ADJUSTED, IN BILLIONS OF DOLLARS
Currency Demand deposits ^ ^ ^ T i m t and sBVlngTdepotits
Date / -
Currency Demand deposits Other Total 1 Nonbank [ thrift
institutions^
1973Dec. 61^6 209.9 _ 300.7 _ 323.I
197 4Jan. 62.0 208,9 66.4 304.6 371.0 325.2 Feb. 62.7 J 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 78.5 i
314.0 392.5 33L5 June 64.6 215.0 81.3 ! 317.0 398.4 332.7 July 64.8
21M -83,6- I. 335 & 402.8 334.0 Aug. 65.4 215*1 83 . 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 1 336.6 Nov. 67.3 216.0 85.5 329.3 414.9 i
338.5 Dec. p 67.7 ! 216.1 J 90.3 330.1 420.4 341.1
1974Dec. 4 1 67.8 218 1 86.7 329.0 415.7 11 1 67.6 217.1 ! 88.5
329.8 418.2 18 p 67.8 215.6 90.2 330.1 420.3 25 p ! 67.7 215.2 |
91.7 330.9 422.6
1975Jan. 1 P 67.7 215.9 93.1 330.3 423.4 8 p 67.8 213.7 ; 93.3
332.5 425.8
15 P 67.9 213.7 92.9 r 334.2 427.0 22 p 68.2 213.6 r 92.6 334.1
1 426.7 29 P 68.3 212.6 | 92.8 334.8 427.6
J in toc r s negotiable time certif icates of deposit issued in
denominations d! $100 000 or more by large weekly reporting
commerctai banks ^ *-ra^f- 01 be^nmng and end of month deposits at
mutual savings banks and savings and loans snares
p - P r e l im ina ry 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
SEASONALLY ADJUSTED. IN BILLIONS OF DOLLARS
j B M H ^ B ^ [ Demand deposits 1 t ime and savings de posit
1
Date Currency Total !' Member Domestic nonmember - ' CD's &
Other Total
Nonbank 1 thrift
institutions-'
U S Gov't demand- 7
191^Dor. H M H N M W i M ^
62.7 216.4 157.0 56.6 64.0 298.2 362.2 j 321.2 6.3 19 f 4Jan. !
6].6 ! 216.2 156.4 56.9 65.8 303.6 369.4 324.5 8.1
Feb. 61.9 | 1 208.3 151.1 54.6 66.1 308.3 i 374.3 326.9 6.6 Mar,
62.7 209.8 152.4 54.7. 66.7 312.4 379.1 330.8 5.4 Apr. 6^.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 1 213.1 153.6 56.1 79.6 318.3
397.9 ! , 334 :r 6.1 July 65.3 j 214.4 154.4 56.5 82.8 319.2 402.0
: 335-6 5.4 Aug. 65.7 211.6 152.4 56.2 87.I 321.2 408.3 1 334.2 4.0
Sept. 65.8 ! 213-2 153.5 56.8 | 88.7 321.4 410.2 334.1 ! i 5.4 Oct.
66.4 214.8 154.6 57.4 ! #8*8 324,7 413,5 335.2 3.7 Nov. 67.8 217.1
156,0 58,0 ! ! 87il 325.9 413.0 336.2 3.3 Dec. P 68.9 222.8 160,5
59.4 90.5 327.3 417.7
1 339-3 4.6
1974Dec. 4 68.3 ! 220.5 158.9 58.5 87.7 325.-3 1 413.0 4
3.7 11 69.1 j 221.2 159.1 59.1 88*9 326.4 &5.3 3.0 18 p 69.0
! 222.4 160,0 59.4 90.4 327-.I 417.5' 4.7 25 P 69.5 222.1 159.8
59.3 91>7> 328.4- 420.1 5.7
1975Jan. 1 P 68.1 227-5 164^2 60.3 92.7 328,5 421.2 5.5
8 p 6R.l ! 227.2 163.1 61.2 92.8 330.9 423.7 4.4 15 P 67.8 224.3
160.8 60.5 r 92.2 r 332.8 425.0 1 3.1 22 p 67.4 219.8 157.8 59.2
9178 | r 333.0 424.8 3.6 29 P 66-7 213.7 153.7 57.1 334.2 425.9
4.4
1 / Total deposits include in addition to the merr. er and
domestic nonmember depoiits shown, deposit* due to foreign
andfnTeVnatlonal institution* at F R Banki and M1 type balances at
agenciei and branches of foreign banks,
2 / Baied on most recent call report tingle dy obiervationi 3/1
nciudes negotiable time certificates of deposits issued in
denominations of $100,000 or mor& by large weekly reporting
commercial banks> 4/ Average of beginning and end of month
deposits at mutual savings banks end savings and loan shares 5/ U S
Governmpnt demand deposits at ail commercial banks
P - preliminary R - revised
Rev,-2/74 Digitized for FRASER http://fraser.stlouisfed.org/
Federal Reserve Bank of St. Louis