NOTE: THIS DATA FILE WILL CHANGE! To improve accessibility of data for all users, we will convert this file from a text format to an html table by the end of June 2024. Title: Interbank Deposits in All Insured Commercial Banks in Chicago Series ID: X10AICBIDC Source: Board of Governors of the Federal Reserve System (US) Release: Banking and Monetary Statistics, 1914-1941 (Not a Press Release) Seasonal Adjustment: Not Seasonally Adjusted Frequency: Semiannual, End of Period Units: Millions of Dollars Date Range: 1934-01-01 to 1941-07-01 Last Updated: 2016-06-29 10:11 AM CDT Notes: This series may have irregularities or important features that are not disclosed here. To see whether this is the case, please consult Part 1, Section 1, Table 10 in the original source at https://fraser.stlouisfed.org/scribd/?item_id=6408&filepath=%2Fdocs%2Fpublications%2Fbms%2F1914-1941%2FBMS14-41_complete.pdf&start_page=1 Relevant details can be found in the footnotes of each table as well as the introductory material for Section 1. DATE VALUE 1934-01-01 395 1934-07-01 448 1935-01-01 508 1935-07-01 526 1936-01-01 641 1936-07-01 605 1937-01-01 543 1937-07-01 535 1938-01-01 696 1938-07-01 669 1939-01-01 760 1939-07-01 890 1940-01-01 957 1940-07-01 1006 1941-01-01 1019 1941-07-01 1037