-
FEDERAL RESERVE statistical release EE ?sm H6 (508) Table 1
MONEY STOCK MEASURES AND LIQUID ASSETS Billions of dollars
For Release at 4:15 p.m. Eastern Time
SEPT. 2, ]983
M1 I M2 1 M3 1 L M1 1 M2. 1 M3. I L Seasonal! adjusted Not
seasonally adjusted
M1 plus M1 plus sum of overnight RPs sum of overnight RPs
currency, and Eurodollars, M2 plus large currency, and
Eurodollars, M2 plus large
Date travelers MMMF time deposits, travelers MMMF time
deposits,
Date checks, balances (gen. term RPs and M3 plus other checks,
balances (gen. term RPs and M3 plus other demand pur. and
Institution-only liquid assets4 demand pur. and Institution-only
liquid assets4
deposits and broker/dealer), MMMF deposits and broker/dealer),
MMMF liquid assets4
other MMDAs, balances3 other MMDAs, balances3 checkable and
savings checkable and savings deposits1 and small time deposits1
and small time
deposits* deposits1
deposits2
1982JULY 4 5 4 . 4 1 8 8 0 . 9 2 2 8 3 . 4 2 7 9 8 . 2 4 5 4 . 3
1 8 8 3 . 0 2 2 8 0 . 8 2 7 9 0 . 0 AUG. 4 5 8 . 3 1 9 0 3 . 6 2 3
1 7 . 9 2 8 2 3 . 6 4 5 4 . 3 1 8 9 6 . 5 2 3 0 8 . 8 2 8 1 1 . 8 S
E P T . 4 6 3 . 2 1 9 1 7 . 0 2 3 3 3 . 9 2 8 4 0 . 5 4 6 1 . 0
1908 .7 2 3 2 4 . 4 2 8 2 5 . 5 O C T . 4 6 8 . 7 1 9 2 4 . 7 2 3 5
2 . 0 2 8 6 6 . 0 4 7 0 . 6 1 9 2 8 . 6 2 3 5 0 . 4 2 8 6 0 . 9 N O
? . 4 7 4 . 0 1 9 4 5 . 0 2 3 7 0 . 2 2 8 8 2 . 4 4 7 9 , 0 1943 .6
2 3 6 9 . 2 2 8 8 1 . 3 D E C . 4 7 8 . 2 1 9 5 9 . 5 2 3 7 7 . 6 2
8 9 6 . 8 4 9 1 . 0 1 9 6 4 . 5 2 3 8 5 . 3 2 9 0 4 . 7
8 9 8 3 J A N . 4 8 2 . 1 2 0 1 0 . 0 2 4 0 3 . 3 2 9 3 0 . 7 4
8 9 . 7 2 0 1 8 . 3 2 4 1 5 . 1 2 9 4 5 . 6 F E B . 4 9 1 . 1 2 0 5
0 . 8 2 4 3 0 . 6 2 9 6 0 . 5 4 8 0 . 6 2 0 4 2 . 5 2 4 2 7 . 0 2 9
6 4 . 9 B A R . 4 9 7 . 6 2 0 6 9 . 9 2 4 4 7 . 1 2 9 8 8 . 3 4 8 9
. 2 2 0 6 5 . 9 2 4 4 5 . 9 2 9 9 3 . 0 A P R . 4 9 6 . 5 2 0 7 4 .
8 2 4 5 4 . 0 5 0 4 . 5 2 0 8 8 . 4 2 4 6 5 . 5 HAY 5 0 7 . 4 2 0 9
6 . 2 2 4 7 6 . 5 4 9 9 . 8 2 0 9 2 . 7 2 4 7 1 . 7 J U N E 5 1 1 .
7 2 1 1 4 . 3 2 4 9 9 . 2 5 0 8 . 3 2 1 1 4 . 0 2 4 9 5 . 8 JULY 5
1 5 . 5 2 1 2 5 . 4 2 5 0 9 . 6 5 1 4 . 7 2 1 2 6 . 9 2 5 0 7 .
5
M1
For period ended Seasonally adjusted Not seasonally adjusted
For period ended 13-week 4-week week average 13-week 4-week week
average average average week average average average week
average
1983-J0LY 6 5 0 6 . 1 5 1 1 . 3 5 1 4 . 3 5 0 5 . 0 5 1 0 . 3 5
2 3 . 9 13 5 0 7 . 5 5 1 2 . 2 5 1 4 . 7 5 0 5 . 8 5 1 2 . 1 5 2 0
. 4 20 5 0 9 . 2 5 1 3 . 3 5 1 6 . 0 5 0 6 . 3 5 1 3 . 9 5 1 3 . 6
27 5 1 0 . 8 5 1 5 . 5 5 1 7 . 0 5 0 7 . 1 5 1 5 . 6 5 0 4 . 5
AOG. 3 5 1 2 . 2 5 1 6 . 3 5 1 7 . 5 5 0 8 . 2 5 1 2 . 8 5 1 2 .
7 10 5 1 3 . 0 5 1 7 . 0 5 1 7 . 3 5 0 9 . 3 5 1 2 . 1 5 1 7 . 6 17
P 5 1 3 . 5 5 1 7 . 1 5 1 6 . 7 5 1 0 . 3 5 1 2 . 6 5 1 5 . 4 24 P
5 1 4 . 1 5 1 6 . 7 5 1 5 . 3 5 1 1 . 2 5 1 3 . 0 5 0 6 . 4
B O T E : S P E C I A L C A U T I O N SHOULD BE T A K E * I S I
N T E R P R E T I N G W E E K - T O - W E B I CHANGES I I HONEY
SUPPLY D A T A , WHICH ABB H I G H L Y V O L A T I L E AND S U B J
E C T TO R E V I S I O N . P I N D I C A T E S P R E L I M I N A R
Y D A T A . FOOTNOTES APPEAR ON THE F O L L O W I N G PAGE
Digitized for FRASER http://fraser.stlouisfed.org/ Federal
Reserve Bank of St. Louis
-
H.6(508)
Table 2
MONEY STOCK MEASURES AND LIQUID ASSETS Percent change at
seasonally adjusted annual rate#
Date Mi M2 M3
3 MONTHS FB08 APB. 1983 TO JOLT 1983 15 .3 9 . 8 9 . 1 6 fiONTHS
FfiOa JAM. 1983 TO JOLT 1983 13 .9 1 1 . 5 8 . 8
12 HOMTHS PfiOM JOLT 1982 TO JOLT 1983 13 .# 1 3 . 0 9 . 9
THIBTBBN WEEKS BIDING AOS. 2 , 1983 FBOfl Tfl lBTBBN WEEKS B ID
ING:
MAI 2 5 , 1983 (13 WBBKS PBEVIOOS) 1 1 . 7
FBB- 2 3 , 1983 (26 WBBKS P1BIIOOS) 1 3 . 0 . AUG- 2 5 , 1982
(52 WEEKS PB8IIOOS) 13 .0
FOOTNOTES TO TABLE 1
l i i l l l l B B i i l i P ' i p l l i i l g i l l l S i M i
;
Digitized for FRASER http://fraser.stlouisfed.org/ Federal
Reserve Bank of St. Louis
-
H.6 (508)
Table 3 COMPONENTS OF MONEY STOCK MEASURES AND LIQUID ASSETS
Travelers ch#ck#2
Demand deposits^
Other Overnight RPs5
NSA
Overnight Money Savings deposits Small denomination
time deposits1? tooney market
mutual fund balanceslO
Date Currency1 Travelers ch#ck#2
Demand deposits^
checkable depoelts4
Overnight RPs5
NSA
Euro-dollars6
NSA
market deposit
accounts/ NSA
at commer-
cial banks
at thrift
Institu-tions
total at
commer-cial
banks
at thrift
Institu-tions
total general purpose
and broker/ dealer
Institution only
1982 -JULY AUG. SEPT.
128.8 129.6 130.5
4 . 4 4 . 4 4 . 4
232. 1 232. 5 234 .0
89 . 1 9 1 . 8 9 4 . 3
3 3 . 3 3 4 . 0 34 . 1
8 .5 8 .4 7 . 4
0 . 0 0 . 0 0 . 0
158.2 158.4 159.6
186.8 188.3 190.4
345 .0 346 .7 350 .0
3 8 3 . 8 388 .6 391 .4
489 .2 491 .2 491 .8
872.9 879.8 883.2
172.9 182.3 185. 1
4 0 . 4 47. 1 4 8 . 2
OCT. NOV. DEC.
131.3 131.9 13 2 . 8
4 . 4 4 . 4 4 . 2
2 3 6 . 0 23 7 . 6 239 .8
9 7 . 0 100. 1 101.3
3 7 . 4 3 8 . 5 3 8 . 5
6 . 5 6 . 7 5 .8
0 . 0 0 . 0
4 3 . 2
162.3 166.2 163.4
195.7 2 0 0 . 1 195.9
3 5 8 . 0 366 .4 359 .3
389 .9 389 .2 383 .2
488. 1 485 .8 475 .9
878 .0 874.9 859. 1
187.6 191. 1 182.2
4 9 . 3 4 9 . 9 4 7 . 6
1983 -JAN. FEB. MAR.
134.2 135.6 137.0
4 . 1 4 . 3 4 . 5
239 .4 2 3 8 . 7 24 0 . 1
104.5 112.5 116.0
40 . 1 41 .0 4 0 . 9
7 . 2 7 . 8 7 . 8
189 .1 277 .7 3 2 0 . 5
151.7 144.7 142.3
183.3 181.0 180.4
335. 1 325 .7 322 .7
356 .7 3 3 7 . 7 3 2 6 . 8
440 .7 4 1 7 . 4 407 .0
797 .4 755. 1 733 .8
166.7 159.6 154.0
46 . 1 4 5 . 2 4 3 . 5
APR. MAY JUNE
138.0 139.3 140.3
4 . 6 4 . 7 4 . 7
238 .9 242 .5 2 4 4 . 0
115.0 120.9 122.7
4 2 . 5 4 6 . 0 46 .6
8. 1 9. 1 9 .4
341 .2 356 .8 367 .3
140.8 140.8 140.8
180.7 182.3 184.2
321 .5 323 . 1 325 .0
3 2 1 . 5 318 .8 3 1 9 . 5
404 .2 401 .4 402 .6
725 .7 720. 1 722. 1
146.7 141. 1 139.6
41 .0 40 .4 3 9 . 2
JULY 140.9 4 . 6 245 .7 124.2 4 3 . 2 9 . 2 368 .4 139.6 183.9
323 .5 326 .0 408 .9 734 .9 138.4 38 .6 WEEK ENDING
1983 JULY 6
13 20 27
140.8 140.3 140.8 141.1
246 .4 246 .5 2 4 5 . 7 245 .7
122.5 123.2 124.8 125.5
4 5 . 9 43 .0 4 3 . 1 42 .3
9. 1 7 . 8 9 . 3
10.2
368 .2 3 6 8 . 8 368 .6 3 6 8 . 0
140.6 139.9 139.4 139. 1
323 .5 3 2 4 . 9 326 .3 3 2 7 . 7
138. 1 138.8 138.7 138.1
38 .8 3 8 . 5 3 8 . 5 3 8 . 5
AUG. 3 10 17 P 24 P
141.3 141.6 141.6 141.9
245 . 1 245. 1 245 .6 243 .3
126.4 125.9 124 .9 125.4
41 .0 4 0 . 5 42 . 1 4 3 . 7
9 .9 9 .7 9 . 2
10.2
3 6 7 . 9 367 .7 3 6 6 . 6 365 .2
138.8 138.6 138.1 137 .8
329 .2 3 3 0 . 3 3 3 2 . 3 3 3 4 . 0
138.3 139.2 139.2 138.6
3 8 . 4 3 8 . 2 3 8 . 4 3 8 . 5
1 /
2 / 3 /
4 /
5 /
6 /
7 /
6 / 9 /
10/
tiE!"%H"r"i%"i%rato,rT0,S"MIc'E^HEiroc"u!Bi;"TI=S.CO,,"BRCI1L *
" E S T I " A T B D " 0 0 " 0 F ' C * S " ODTStmraSG 1MOONT o r
D.S. D01LABDEK0HIRATBD TRAVELERS CHECKS OF H0HBAHK ISSOEBS.
E f H E - f s E E SEASONALLY ADJUSTED SOB OF DEMAND DEPOSITS
PLUS OCD AND SEASONALLY ADJUSTED DEMAND DEPOSITS. INCLUDED ARE ALL
C E I L I N G -FREE "SUPER MOWS." AUTHORIZED BY THE DEPOSITORY
INSTITUTIONS DEREGULATION COMMITTEE TO BE OFFERED BEGINNING JANUARY
5 . 1983. PRELIMINARY DATA INDICATE THAT BALANCES I N "SUPER NOWS"
MERE ABOUT $33.8 BILLION IN THE WEEK ENDED AUGUST 10, ABOUT $33 .7
BILLION I N THE WEEK ENDED AUGUST 17 , AND ABOUT $ 3 3 . 4 BILLION
IN THE WEEK ENDED AUGUST 24. THESE FIGURES INCLUDE BALANCES IN
*SUPER HONS* AT COMMERCIAL BANKS OF ABOUT $23 .8 BILLION IN THE
WEEK ENDED AUGUST 10 AND ABOUT $23 .8 BILLION IN THE WEEK ENDED
AUGUST 17. FIGURES FOR THE LATEST SEEK ARB NOT YET AVAILABLE BY
TYPE OF INSTITUTION
c o f l , , B a c i A L b " k s t o o t h e b t h a - d e p o s
" r i [ c r o n e s * " >
ISSUED BY FOREIGN (PRINCIPALLY CARIBBEAN AND LONDON)* BRANCHES
OF U.S. BANKS TO U.S. RESIDENTS OTHER THAN DEPOSITORY INSTITUTIONS
AMD MONEY MARKET MUTUAL FUNDS. HONEY MARKET DEPOSIT ACCOUNTS
(MMDAS) WERE AUTHORIZED BY THE DEPOSITORY INSTITUTIONS DEREGULATION
COMMITTEE TO BE OFFERED BEGINNING DECEMBER 14, 1982. SAVINGS
DEPOSITS EXCLUDE MMDAS. SMALL DENOMINATION TIME DEPOSITS INCLUDING
RETAIL RPS ARE THOSE ISSUED IN AMOUNTS OF LESS THAN $100 ,000 . ALL
INDIVIDUAL RETIREMENT ACCOUNTS (IRA) AND KEOGH ACCOUNTS AT
COMMERCIAL BANKS AND THRIFTS ARB SUBTRACTED FROM SMALL TIME
DEPOSITS. NOT SEASONALLY ADJUSTED, INCLUDES BALANCES IN BOTH
TAXABLE AND TAX-EXEMPT FUNDS. ALL INDIVIDUAL RETIREMENT ACCOUNTS
AND KEOGH ACCOUNTS AT MONEY FUNDS ARB EXCLUDED. Digitized for
FRASER
http://fraser.stlouisfed.org/ Federal Reserve Bank of St.
Louis
-
H.6 (508)
Table 3continued
COMPONENTS OF MONEY STOCK MEASURES AND LIQUID ASSETS Billions of
dollars, seasonally ad usted unless otherwise noted
Large denomination time deposits1 Date
1 9 6 2 - J 0 L I AUG. SEPT.
OCT. MOV. DEC.
1983-JAN. FEB. HAH.
APR. MAI J01B
JOLT
at commercial banks?
2 7 1 . 7 2 7 3 . 6 2 7 3 . 6
2 7 5 . 3 273 . 7 2 6 7 . 0
2 4 7 . 6 2 3 5 . 2 2 3 1 . 6
2 3 1 . 1 2 2 7 . 0 2 2 9 . 3
226.1 EBK ELDIIGS
1 9 8 3 - J 0 1 I 6 2 2 7 . 3 13 2 2 7 . 4 20 2 2 6 . 2 27 2 2 6
. 1
AUG. J 2 2 6 . 4 10 2 2 7 . 5 17 P 2 2 7 . 1 24 P 2 2 7 . 4
at thrift institutions
6 0 . 4 6 1 . 3 6 2 . 5
6 4 . 3 66.8 6 6 . 7
6 3 . 1 6 2 . 7 6 4 . 6
6 9 . 2 7 2 . 5 7 5 . 3
7 9 . 8
total
3 3 2 . 1 3 3 4 . 9 3 3 6 . 1
3 3 9 . 6 3 4 0 . 4 3 3 3 . 8
3 1 0 . 7 2 9 7 . 9 2 9 6 . 2
3 0 0 . 4 2 9 9 . 5 3 0 4 . 6
3 0 5 . 9
at commercial banks NSA
2 2 . 7 2 5 . 4 2 4 . 6
26.0 2 7 . 8 28.2
2 7 . 9 28.6 2 9 . 4
3 0 . 3 3 2 . 7 3 1 . 5
2 9 . 6
2 9 . 6 2 7 . 8 2 9 . 8 3 0 . 4
3 0 . 9 3 0 . 6 3 1 . 3 3 2 . 1
Term RPs3~ at thrift
institutions NSA
11.8 11.6 11.8
1 1 . 7 11.6 12.1
12.6 12.2 1 2 . 3
1 2 . 4 1 2 . 5 1 3 . 0
1 3 . 2
total NSA
3 4 . 5 3 7 . 0 3 6 . 4
3 7 . 7 3 9 . 4 4 0 . 3
4 0 . 6 4 0 . 8 4 1 . 7
4 2 . 7 4 5 . 3 4 4 . 5
4 2 . 8
Term 4 Eurodollars
NSA
8 3 . 7 80.9 #0.6
81. 1 7 9 . 5 80.1 81.2 8 3 . 8 8 6 . 7
Savings bonds
6 7 . 6 6 7 . 5 6 7 . 5
6 7 . 6 6 7 . 8 6 7 . 9
68.1 6 8 . 5 68.8
Short term Treasury securities
2 0 2 . 9 2 0 4 . 1 2 0 3 . 6
2 1 0 . 3 2 1 4 . 5 2 1 7 . 6
2 1 9 . 3 2 1 9 . 3 2 2 4 . 5
Banker . acceptance $6
4 2 . 0 4 1 . 3 4 1 . 4
4 2 . 8 4 3 . 1 4 4 . 9
4 5 . 3 4 3 . 2 4 2 . 0
V BANKING'FACIL IT IES a " s " P 0 S I T S 1 8 8 T B 0 S B I S S
0 8 D " 1 H 0 3 " S 0 r * ' 0 0 . 0 0 0 OB HOBE, EXCLUDING THOSE
BOOKED I T INTERNATIONAL
SYSTEM, AND NONET N A R K E T ^ M T 0 A L * P N N D S ^ * * * "
^ BANKS, F . B . BANKS, FOREIGN OFFICIAL INSTITUTIONS, THE FEDERAL
HOSE LOAN BANK / TOTAL COFLHEBCIAL PAPER LESS C0ENBRCIAL PAPER HELD
BY HOIE I BASKET HOTOAL FUNDS.
Digitized for FRASER http://fraser.stlouisfed.org/ Federal
Reserve Bank of St. Louis
-
H.6 (508)
Table 3A
COMPONENTS OF MONEY STOCK Billions of dollars, not seasonally
adjusted MEASURES AND LIQUID ASSETS
Date
1 9 8 2 - J 0 1 I AUG. SEPT*
O C T . O F . D E C .
1 9 8 3 - J A I . FEB. HAB.
1PB. HAT J01E
J O L I
EEK ENDING:
1983 -JOL f
AOG.
6 13 20 27
3 10 17 P 24 P
Currency1
129 .8 1 3 0 . 1 130 .2
131 .3 132 .7 135 .2
133 .2 1 3 3 . 7 135 .4
137 .# 138 .9 140 .3
142 .0
143 .3 142 .3 141 .6 140 .7
1 4 1 . 6 143 .5 142 .7 141 .8
Travelers checks2
4 . 9 4 . 9 4 . 7
4 . 4 4 . 2 4 . 0
3 . 9 4 . 1 4 . 3
4 . 4 4 . 5 4 . 9
5 . 2
Demand deposits
at member banks3
151 .0 150 .1 152 .5
155 .7 158 .0 163 .3
161 .9 153 .4 155 .4
160.1 157 .4 160.2 162.6
166.3 1 6 5 . 1 1 6 3 . 0 158 .6
161.2 162. 1 162 .5 158 .7
at domestic nonmember
banks4
7 7 . 4 7 6 . 2 7 7 . 0
7 8 . 3 7 9 . 3 81.0 80. 1 7 6 . 2 7 6 . 5
7 9 . 0 7 7 . 5 7 8 . 6
7 9 . 1
81.6 8 0 . 7 7 8 . 8 7 6 . 4
7 8 . 6 7 8 . 7 7 8 . 5 7 5 . 9
at foreign-related banking offices
In the U.S.s
3 . 7 3 . 7 3 . 9
4 . 0 3 . 9 3 . 9
3 . 7 3 . 6 3 . 7
3 . 8 3 . 7 3 . 7
3 . 7
3 . 9 3 . 7 3 . 6 3 . 7
3 . 8 3 . 5 3 . 7 3 . 6
2 3 1 . 7 2 2 9 . 6 2 3 2 . 9
2 3 7 . 6 2 4 0 . 6 2 4 7 . 7
2 4 5 . 1 2 3 2 . 8 2 3 5 . 2
2 4 2 . 4 2 3 8 . 2 2 4 2 . 1
2 4 5 . 0
2 5 1 . 3 2 4 9 . 0 2 4 5 . 0 2 3 8 . 4
2 4 3 . 1 2 4 3 . 9 2 4 4 . 2 2 3 7 . 7
Other checkable deposits
at commercial
banks7
6 9 . 3 7 0 . 7 7 3 . 4
7 6 . 1 7 9 . 2 81.0 8 2 . 4 8 3 . 6 8 6 . 7
9 0 . 8 8 8 . 7 9 0 . 7
9 1 . 7
9 3 . 0 9 2 . 7 9 1 . 3 9 0 . 1
9 1 . 7 9 3 . 5 9 2 . 5 9 1 . 4
at thrift Institutions 8
1 8 . 5 1 9 . 1 1 9 . 9
21.2 2 2 . 3 2 3 . 1
2 5 . 1 2 6 . 4 2 7 . 7
2 9 . 5 2 9 . 5 3 0 . 3
3 0 . 8
3 1 . 3 3 1 . 3 3 0 . 6 3 0 . 1
3 1 . 1 3 1 . 5 3 0 . 9 3 0 . 3
total
8 7 . 9 8 9 . 8 9 3 . 3
9 7 . 3 1 0 1 . 5 1 0 4 . 0
1 0 7 . 5 110 .0 1 1 4 . 3
120.2 118.2 121.0 1 2 2 . 5
1 2 4 . 2 1 2 4 . 0 1 2 1 . 9 1 2 0 . 2
122.8 1 2 4 . 9 1 2 3 . 4 121 .8
Overnight RPs 9
3 3 . 3 3 4 . 0 3 4 . 1
3 7 . 4 3 8 . 5 3 8 . 5
4 0 . 1 4 1 . 0 4 0 . 9
4 2 . 5 4 6 . 0 4 6 . 6
4 3 . 2
4 5 . 9 4 3 . 0 4 3 . 1 4 2 . 3
4 1 . 0 4 0 . 5 4 2 . 1 4 3 . 7
Overnight Eurodollars
8 . 5 8 . 4 7 . 4
6 . 5 6 . 7 5 . 8
7 . 2 7 . 8 7 . 8
8.1 9 . 1 9 . 4
9 . 2
9 . 1 7 . 8 9 . 3
10.2 9 . 9 9 . 7 9 . 2
10.2
* S i S 1 h o e " 1 G B " C I B S " D " ' < " - CORPORATORS
MID FOREIGR
IRSTITOTIORS TO S E R V I C E ' T B E I B ^ O C D ^ L I A B I L
I T I E S J ^ 8 S T I B 1 T B D 1 H 0 D OF DEHARD DEPOSITS BBtD AT
COHBBBCIAL BURRS BT THRIFT
S U P B B B H 0 " ! c C 0 a T S ? S " C 0 B H E B C I A L B " K
S 8 8 " C U E S ARB AGERCIES OF FORBIGB BARKS, ARD EDGE ACT
CORPORATORS; IRCIODES
I R C L 0 D B S B O B M ? r " T m L T S r i R & M E S ^ S O
M ^ R O W ^ A C C O O M S r " 0 T " , t S i T I " G S B * " S .
CREDIT ORIOR SHARE DRAFT BALARCBS, ARD
i o , x - s d S F * 1 , , R S T I T 0 T I O , S A R D O , =
,
- I D E R T S OTHER THAR DEPOSITOR
7 /
8 /
V
Digitized for FRASER http://fraser.stlouisfed.org/ Federal
Reserve Bank of St. Louis
-
H.6 (508)
Table 3Acontinued COMPONENTS OF MONEY STOCK MEASURES AND LIQUID
ASSETS Billions of dollars, not seasonally adjusted 6
Money market deposit accounts Savings deposits1 Small
denomination time deposits^ Large denomination time deposits3
Date at commer-
cial banks
at thrift
institutions
total at commer-
cial banks
at thrift
institutions
total at commer-
cial banks
at thrift
institutions
total at commer-
cial banks4
at thrift
institutions
totalS
1982 -JULY AUG. SEPT.
0 . 0 0 . 0 Q.O
0 . 0 0 . 0 0 . 0
0 . 0 0 . 0 0 . 0
159.9 159.3 159.7
188.7 187.5 188.5
348 .6 346 .8 348 .2
383 .0 387 .4 389 .7
488 .7 489 .2 4 89 .3
871 .6 8 7 6 . 6 879 .0
2 6 7 . 5 271 .9 2 7 2 . 7
59 .9 6 1 . 0 6 2 . 2
327 .4 332 .9 334 .9
OCT. NOV. DEC.
0 . 0 0 . 0
2 6 . 5
0 . 0 0 . 0
16.8
0 . 0 0 . 0
4 3 . 2
163.0 165.0 161. 8
194.8 198.3 195.0
357 .8 363 .4 356 .7
388 .3 387. 1 380 .2
487 .0 484 .5 4 7 3 . 6
875 .3 871 .6 8 5 3 . 9
275 .0 274 .6 270 .0
64. 1 6 6 . 3 66. 5
339. 1 340 .8 336 .5
1983 -JAN. FEB. HAB.
114.2 163.3 185.8
7 4 . 9 114.5 134.6
189.1 277 .7 3 2 0 . 5
150.3 143.5 142. 1
184. 3 181.0 18 1. 1
334 .7 324 .5 323 .2
356 .3 339 .3 329 .2
442 .3 4 19.2 4 0 8 . 5
798 .6 7 5 8 . 5 7 3 7 . 7
250 .4 2 3 8 . 7 233 .4
6 3 . 8 6 3 . 9 6 5 . 5
314 .2 302. 6 298.9
APR. MAY JUNE
19 8 . 0 2 0 7 . 6 2 1 5 . 0
143.2 149.2 152.3
3 4 1 . 2 356 .8 3 6 7 . 3
141.9 141.7 141.5
182.4 182.9 184.8
324 .3 324.6 326 .3
322 .7 320 .4 321 .0
405. 9 402 .3 402 .8
7 2 8 . 6 7 2 2 . 7 7 2 3 . 9
229 .2 225 .6 2 2 6 . 7
6 8 . 9 7 2 . 6 7 4 . 8
298. 1 298 .2 3 0 1 . 5
JUL I 217 .0 151 .4 3 6 8 . 4 141.0 185.6 326 .6 3 2 5 . 5 408
.7 7 3 4 . 2 223 .3 7 9 . 0 30 2 .3
WEEK ENDING
1983 JUL I 6
13 20 27
216. 1 2 1 6 . 8 217 . 1 2 1 7 . 3
152.2 152.0 151.5 150.8
368 .2 3 6 8 . 8 368 .6 3 6 8 . 0
142. 1 141.6 140.9 140.2
3 2 3 . 3 324 .4 325.6 326 .7
223 .7 223 .2 222 .0 2 2 3 . 8
AUG. 3 10 17 P 24 P
2 1 7 . 7 2 1 7 . 7 2 1 7 . 5 217 .2
150.2 150.0 149. 1 148. 1
367 .9 367 .7 366 .6 36 5 . 2
139.9 139.7 139. 1 138.5
328 .3 329 .6 331 .4 332 .8
224 .2 225 .8 225 .0 226 .0
1 / SAVINGS DEPOSITS EXCLUDE HBDAS. 2 / SHALL DENOMINATION TIME
DEPOSITS INCLUDING RETAIL BPS ABE THOSE ISSOED IN AMOUNTS OF LESS
THAN $100 ,000 . ALL
INDIVIDUAL BETIBEMENT ACCOUNTS (IBA) AND KEOGH ACCOUNTS AT
COMMERCIAL BANKS AND THRIFTS ARE SUBTRACTED FROM SMALL TIME
DEPOSITS.
3 / LARGE DENOMINATION TIME DEPOSITS ABE THOSE ISSUED IN AMOUNTS
OF $100,000 OR MORE, EXCLUDING THOSE BOOKED AT INTERNATIONAL
BANKING FACIL IT IES ( I B F S ) .
4 / LABGE DENOMINATION TIME DEPOSITS AT COMMERCIAL BANKS LESS
LABGE TIME HELD BY MONEY MARKET MUTUAL FUNDS AND THRIFT
INSTITUTIONS.
5 / TOTAL LARGE DENOMINATION TIME DEPOSITS EXCEEDS SUM OF THREE
PREVIOUS COLUMNS BY SUCH DEPOSITS AT CREDIT UNIONS.
Digitized for FRASER http://fraser.stlouisfed.org/ Federal
Reserve Bank of St. Louis
-
H.6 (508)
Table 3Acontinued
COMPONENTS OF MONEY STOCK MEASURES AND LIQUID ASSETS Billions of
dollars, not seasonally adjusted
V 2 /
3 /
4 /
5 /
Term RP's1 Term Term Savings Short-term Bankers Commercial Date
at
Savings Short-term Bankers Commercial Date at at total
Eurodollars 2 bonds treasury acceptances paper -commercial thrift
securities 3 acceptances paper -
banks institutions
2-JULT AOG. SEPT.
2 2 . 7 2 5 . 4 2 4 . 6
11.8 11.6 11.8
34 .5 37 .0 36 .4
83 .7 80 .9 80 .6
6 7 . 4 6 7 . 5 6 7 . 5
198.7 199.1 199.2
4 1 . 3 4 0 . 9 4 1 . 8
118.0 1 14.7 112.0
OCT. NOV. DEC.
2 6 . 0 2 7 . 8 2 8 . 2
11.7 11.6 12. 1
3 7 . 7 39 .4 40 .3
81. 1 79 .5 80 . 1
6 7 . 7 6 8 . 0 6 8 . 2
206.8 212 .5 216.8
43 .4 43 .9 4 5 . 1
111.5 108.2 109.2
I -JAM. FEB. HAB.
2 7 . 9 2 8 . 6 2 9 . 4
12.6 12.2 12.3
4 0 . 6 40 .8 4 1 . 7
81 .2 83 .8 86 .7
6 8 . 4 6 8 . 5 6 8 . 7
221.3 225 .5 231 .2
4 5 . 4 4 3 . 5 4 1 . 5
114.1 116.6 119. 1
APB. 3 0 . 3 12 .4 42 .7 HAI 3 2 . 7 12.5 4 5 . 3 JUNE 3 1 . 5
13.0 4 4 . 5
JOLT 2 9 . 6 13.2 42 .8
EIDIMG;
- J O L I 6 2 9 . 6 13 2 7 . 8 20 2 9 . 8 27 3 0 . 4
AOG. 3 3 0 . 9 10 3 0 . 6 17 P 3 1 . 3 24 P 3 2 . 1
" ; : s
T U T I O N S ^ F . ' LU N * K S B I * D I H O B I M A * B K C T
H O T D * L B R D N D S I I I I ' I G 0 P L E S S T H A N 18 MONTHS
H E L D BT OTHER T H A U D E P O S I T O R Y I N S T I -
NET OF BANKERS ^ ^ ^ A . C E S ^ . L D ^ Y ^ . C C E P T I N O B
A N K S . F . R . B A N K S . F O R E I G N O F F I C I A L I N S T
I T U T I O N S , T H E F E D E R A L HOME LOAN BANK S Y S T E M ,
AMD HON E I HARKET MUTUAL F D N D S . T O T A L C O M M E R C I A L
PAPER LESS C O M M E R C I A L PAPER HELD BT MONEY MARKET MUTUAL F
U N D S .
Digitized for FRASER http://fraser.stlouisfed.org/ Federal
Reserve Bank of St. Louis
-
H.6 (508)
Table 4 MEMORANDA ITEMS Billions of dollars, not seasonally
adjusted
Demand deposits at banks due to Time and savings deposits
due to foreign commerical banks and
foreign official institutions
U.S. government deposits
Date foreign commercial
banks foreign official
Institutions
Time and savings deposits
due to foreign commerical banks and
foreign official institutions
demand deposits at commercial
balances at Federal Reserve Banks
note balances at commercial
banks and thrift institutions
total demand deposits and
note and FR balances
time and savings deposits at commercial
banks
1982-JOLI 9 . 6 2 . 5 9 . 9 2 . 5 3 . 3 5 .7 11.6 0 .9 AUG. 8 .
6 2 . 3 9 . 7 2 . 3 3 . 3 5 .8 11.4 1.0 SEPT. 8 . 4 2 . 0 9 . 4 3 .
3 3 . 8 9 .0 16. 1 1 .1
OCT. 8 . 4 2 . 2 9 . 2 2 . 5 3 . 2 13.8 19.5 1.1 NOV. 8 . 4 1.9
9 . 2 2 .6 3 . 1 5 .3 10.9 1 .1 DEC. 8 . 6 2 . 1 9 . 0 2 . 9 3 . 2
7 . 9 14.0 1 .1
1983JAM. 7 . 8 2 . 1 8 . 7 2 . 8 3 . 3 13.5 19.6 1.0 FEB. 7 . 9
2 . 0 8 . 3 2 . 8 3 . 2 7 . 4 13.4 0 . 9 MAR. 8 . 1 1.9 8 . 1 2 . 7
3 . 3 10.4 16.5 1.0
APB. 7 . 9 2 . 0 7 . 9 3 . 9 3 . 8 10.3 18.0 1 .1 MAI 8 . 1 2 .
0 7 . 7 2 . 5 3 . 6 10.0 16.0 0 . 9 JUNE 8 . 2 2 . 0 7 . 7 3 . 4 3
. 4 9 .8 16.6 0 . 8
JUL1 8 . 3 2 . 0 7 . 6 2 . 8 4 . 2 19. 1 26 .0 0 .8
WEEK EHDIIG:
1983 JULY 6 8 . 8 2 . 0 7 . 6 3 . 1 4 . 5 19.0 26 .5 0 . 8
13 8 . 5 2 . 1 7 . 6 2 . 4 4 . 5 19.2 26. 1 0 . 8 20 8 . 1 2 . 1
7 . 6 3 . 4 3 . 3 19.2 2 5 . 9 0 .8 27 8 . 0 1 .9 7 . 6 2 . 2 4 . 5
19.3 26. 1 0 . 8
AUG. 3 8 . 2 2 . 2 7 . 5 3 . 1 4 . 0 18.2 25 .3 0 . 8 10 8 . 3 2
. 0 7 . 5 2 . 2 3 . 8 12.7 18.7 0 . 8 17 P 8 . 0 2 . 0 7 . 6 2 . 4
3 . 3 12.0 17.8 0 . 8 24 P 8 . 0 2 . 1 7 . 7 2 . 4 3 . 6 14.4 20.4
0 .8
IRA and Keogh Accounts
commerlcal banks
15.2 15.6 16.0 16.6 17.2 17.9
19.3 2 0 . 7 22.8
26.2 27 .3 2 7 . 9
2 8 . 4
thrift Institutions
2 4 . 5 25 . 1 2 5 . 8
2 6 . 6 27 . 1 2 7 . 7
28.8 2 9 . 7 31 .3
3 3 . 6 34 .9 3 5 . 6
3 6 . 4
money market
mutual funds
4 . 1 4 . 2 4 . 3
4 . 4 4 . 5 4 . 6
4 . 7 4 . 8 4 . 9
5 . 2 5 . 2 5 . 2e
5 . 3 e
43 .8 44 .9 46 .2
47 .6 48 .8 50. 1
52 .8 55 .2 59 .0
65. 1 67 .4 68 .7e
70 . 1e
B=ESTIMATED
Digitized for FRASER http://fraser.stlouisfed.org/ Federal
Reserve Bank of St. Louis