Federal Reserve Bank of New York Circulars
Each Federal Reserve Bank issues circulars to their member banks that address community relations, bank services, and supervision and regulation, and describe the Bank's procedures and processes. These circulars were issued by the Federal Reserve Bank of New York to member banks in the Second District.
- 1910s
- 1920s
- 1930s
- 1940s
- 1950s
- Federal Reserve Bank of New York Circulars for the Year 1950 on Certain Operations and Activities Including Those as Fiscal Agent of the United States
- 3526. Thirty-fifth Annual Statement
- 3525. Member of Federal Advisory Council
- 3524. Public Notice of Offering of $900,000,000, or Thereabouts, of 91-Day Treasury Bills
- 3528. 2 Percent Depositary Bonds, Second Series, Notice of Redemption
- 3527. Public Notice of Offering of $900,000,000, or Thereabouts, of 91-Day Treasury Bills
- 3529. Announcement Regarding New Treasury Offering
- 3531. Public Notice of Offering of $900,000,000, or Thereabouts, of 91-Day Treasury Bills
- 3530. Offering of 1 1/4 Percent Treasury Notes of Series A-1951 in Exchange for 1 1/4 Percent Treasury Certificates of Indebtedness of Series B-1950
- 3532. Regulations Governing United States Savings Bonds
- 3533. Public Notice of Offering of $1,000,000,000, or Thereabouts, of 91-Day Treasury Bills
- 3535. Regulation T of the Board of Governors of the Federal Reserve System as Amended to July 20, 1949
- 3534. Revision of Buffalo Branch Time Schedule
- 3536. Public Notice of Offering of $1,000,000,000, or Thereabouts of 91-Day Treasury Bills
- 3537. Public Notice of Offering of $1,000,000,000, or Thereabouts of 91-Day Treasury Bills
- 3539. Public Notice of Offering of $1,000,000,000, or Thereabouts, of 91-Day Treasury Bills
- 3538. Exchange Offerings, Offering of 1 1/4% Treasury Notes of Series B-1951 in Exchange for 1 1/4% Treasury Certificates of Indebtedness of Series C-1950, Offering of 1 1/2% Treasury Notes of Series A-1955 in Exchange for 2% Treasury Bonds of 1950-52
- 3540. Public Notice of Offering of $1,000,000,000, or Thereabouts, of 91-Day Treasury Bills
- 3541. Operating Ratios of Member Banks in the Second Federal Reserve District for the Year 1949
- 3542. Public Notice of Offering of $1,000,000,000, or Thereabouts, of 91-Day Treasury Bills
- 3543. Public Notice of Offering of $900,000,000, or Thereabouts, of 91-Day Treasury Bills
- 3544. Deposit of Federal Taxes with Depositary Banks and Federal Reserve Banks
- 3545. Regulation U of the Board of Governors of the Federal Reserve System as Amended to July 20, 1949
- 3546. Public Notice of Offering of $900,000,000, or Thereabouts, of 91-Day Treasury Bills
- 3547. Exchange Offerings, Offering of 1 1/4% Treasury Notes of Series C-1951 in Exchange for 1 1/4% Treasury Certificates of Indebtedness of Series D-1950, Offering of 1 1/2% Treasury Notes of Series A-1955 in Exchange for 1 3/8% Treasury Notes of Series
- 3549. Reports of Transactions in Foreign Exchange, Transfers of Credit, and the Export of Coin and Currency
- 3548. Public Notice of Offering of $900,000,000, or Thereabouts, of 91-Day Treasury Bills
- 3550. Public Notice of Offering of $900,000,000, or Thereabouts, of 91-Day Treasury Bills
- 3551. Public Notice of Offering of $1,000,000,000, or Thereabouts, of 91-Day Treasury Bills
- 3552. Public Notice of Offering of $1,000,000,000, or Thereabouts, of 91-Day Treasury Bills
- 3553. Public Notice of Offering of $1,000,000,000, or Thereabouts, of 91-Day Treasury Bills
- 3554. Daylight Saving Time
- 3555. Public Notice of Offering of $1,100,000,000, or Thereabouts, of 91-Day Treasury Bills
- 3556. Public Notice of Offering of $1,100,000,000, or Thereabouts, of 91-Day Treasury Bills
- 3557. Announcement Regarding New Treasury Offerings
- 3558. Call of Two Issues of Treasury Bonds
- 3559. Public Notice of Offering of $1,100,000,000, or Thereabouts, of 91-Day Treasury Bills
- 3560. Public Notice of Offering of $1,100,000,000, or Thereabouts, of 91-Day Treasury Bills
- 3561. Offering of 1 1/4 Percent Treasury Notes of Series D-1951 in Exchange for 1 1/4 Percent Treasury Certificates of Indebtedness of Series E-1950
- 3562. Public Notice of Offering of $1,100,000,000, or Thereabouts, of 91-Day Treasury Bills
- 3563. Public Notice of Offering of $1,100,000,000, or Thereabouts, of 91-Day Treasury Bills
- 3564. Public Notice of Offering of $1,000,000,000, or Thereabouts, of 91-Day Treasury Bills
- 3565. Public Notice of Offering of $1,000,000,000, or Thereabouts, of 91-Day Treasury Bills
- 3566. Offering of 1 1/4 Percent Treasury Notes of Series E-1951 in Exchange for 1 1/4 Percent Treasury Certificates of Indebtedness of Series F-1950
- 3567. Public Notice of Offering of $1,000,000,000, or Thereabouts, of 91-Day Treasury Bills
- 3568. Public Notice of Offering of $1,000,000,000, or Thereabouts, of 91-Day Treasury Bills
- 3569. Public Notice of Offering of $1,000,000,000, or Thereabouts, of 92-Day Treasury Bills
- 3570. Detached Requests for Payment of United States Savings Bonds
- 3571. Public Notice of Offering of $1,000,000,000, or Thereabouts, of 91-Day Treasury Bills
- 3572. Public Notice of Offering of $1,000,000,000, or Thereabouts, of 91-Day Treasury Bills
- 3573. Public Notice of Offering of $1,100,000,000, or Thereabouts, of 91-Day Treasury Bills
- 3574. Offering of $1,100,000,000 of 91-Day Treasury Bills
- 3575. Deposit of Federal Taxes with Depositary Banks and Federal Reserve Banks
- 3576. Offering of $1,100,000,000 of 91-Day Treasury Bills
- 3577. Offering of $1,100,000,000 of 92-Day Treasury Bills
- 3579. Announcement Regarding New Treasury Offerings
- 3578. Discount Rates
- 3580. Offering of $1,100,000,000 of 91-Day Treasury Bills
- 3582. Results of Bidding for Treasury Bills Dated August 31, 1950
- 3581. Offering of $1,100,000,000 of 91-Day Treasury Bills
- 3583. Offering of 1 1/4% Treasury Notes of Series F-1951 in Exchange for 1 1/8% Treasury Certificates of Indebtedness of Series G-1950 or 2% Treasury Bonds of 1950-52 or 2 1/2% Treasury Bonds of 1950-52
- 3584. Offering of $1,000,000,000 of 91-Day Treasury Bills
- 3585. Negotiation of National Service Life Insurance Dividend Checks
- 3586. Regulation W, Consumer Instalment Credit Control
- 3588. Regulation W, Consumer Instalment Credit Control, Designation of Automobile Appraisal Guides
- 3587. Offering of $1,000,000,000 of 91-Day Treasury Bills
- 3589. Special Offering of United States Savings Bonds of Series F and G to Institutional Investors
- 3591. Return to Standard Time
- 3590. Offering of 1 1/4 Percent Treasury Notes of Series G-1951 in Exchange for 1 1/8 Percent Treasury Certificates of Indebtedness of Series H-1950
- 3592. Offering of $1,000,000,000 of 91-Day Treasury Bills
- 3593. Shipments of Coin to This Bank During the Present Railway Express Embargo
- 3594. Regulation V, Loan Guarantees for Defense Production
- 3596. Nomination and Election of Directors
- 3595. Offering of $1,000,000,000 of 91-Day Treasury Bills
- 3597. Regulation W, Consumer Credit, Filing of Registration Statements
- 3598. Offering of $1,000,000,000 of 90-Day Treasury Bills
- 3599. Regulation V, Loan Guarantees for Defense Production
- 3600. Regulation X, Effective October 12, 1950, Residential Real Estate Credit
- 3601. Offering of $1,000,000,000 of 91-Day Treasury Bills
- 3603. Consumer Credit, Amendment No. 1 to Regulation W of the Board of Governors of the Federal Reserve System, Effective October 16, 1950
- 3602. Lifting of Railway Express Embargo on Shipments of Coin to This Bank
- 3604. Regulation X, Residential Real Estate Credit, Forms of Statement of Borrower
- 3605. Offering of $1,000,000,000 of 91-Day Treasury Bills
- 3606. Offering of $1,100,000,000 of 91-Day Treasury Bills
- 3607. Nomination and Election of Directors
- 3608. Offering of $1,100,000,000 of 91-Day Treasury Bills
- 3609. Regulation X, Residential Real Estate Credit
- 3611. Regulation X, Residential Real Estate Credit
- 3610. Offering of $1,100,000,000 of 91-Day Treasury Bills
- 3612. Regulation W, Consumer Credit, Filing of Registration Statements
- 3614. Residential Real Estate Credit, Amendment No. 1 to Regulation X of the Board of Governors of the Federal Reserve System, Effective November 14, 1950
- 3613. Safekeeping, Handling and Shipment of Securities
- 3616. Regulation X, Residential Real Estate Credit
- 3615. Offering of $1,100,000,000 of 91-Day Treasury Bills
- 3617. Results of Election of Directors
- 3618. Offering of $1,100,000,000 of 91-Day Treasury Bills
- 3619. Announcement Regarding New Treasury Offering
- 3621. Regulation W, Consumer Credit, Disaster Credits
- 3620. Offering of $1,100,000,000 of 91-Day Treasury Bills
- 3622. Offering of 1 3/4% Treasury Notes of Series B-1955 in Exchange for 1 1/2% Treasury Bonds of 1950 or 1 1/8% Treasury Certificates of Indebtedness of Series A-1951
- 3623. Offering of $1,000,000,000 of 91-Day Treasury Bills
- 3625. Regulation X, Residential Real Estate Credit, Preservation of Records
- 3626. Regulation V, Loan Guarantees for Defense Production
- 3624. Offering of $1,000,000,000 of 91-Day Treasury Bills
- 3628. Simplified Commercial Credit File
- 3627. Regulation W, Consumer Credit, Leasing Arrangements
- 3630. Results of Bidding for Treasury Bills Dated December 21, 1950
- 3629. Offering of $1,000,000,000 of 91-Day Treasury Bills
- 3631. Change in Grouping of Treasury Tax and Loan Depositaries
- 3633. Results of Bidding for Treasury Bills Dated December 28, 1950
- 3632. Offering of $1,000,000,000 of 91-Day Treasury Bills
- 3635. Regulation W, Consumer Credit, Limitations on Exempt Disaster Credits
- 3634. Regulation W, Consumer Credit, Large Quantity Sales of Listed Articles
- 3636. Supplement to Regulation D, Reserves Required to be Maintained by Member Banks with Federal Reserve Banks, Increases in Reserve Requirements
- Federal Reserve Bank of New York Circulars for the Year 1951 on Certain Operations and Activities Including Those as Fiscal Agent of the United States
- 3637. Offering of $1,000,000,000 of 91-Day Treasury Bills
- 3639. Thirty-sixth Annual Statement
- 3638. Member of Federal Advisory Council
- 3640. Collection of Cash Items, Amendments of Operating Circulars Nos. 4, 5 and 6
- 3641. Transactions in Marketable Securities of the United States, Revision of Operating Circular No. 17
- 3643. Regulation X, as Amended Effective January 12, 1951, Residential Real Estate Credit
- 3642. Offering of $1,000,000,000 of 91-Day Treasury Bills
- 3644. Supplements to Regulations T and U of the Board of Governors of the Federal Reserve System
- 3646. Regulation W, Consumer Credit, Press Statement of the Board of Governors of the Federal Reserve System
- 3645. Offering of $1,000,000,000 of 91-Day Treasury Bills
- 3647. A Call for Pennies
- 3648. Offering of $1,100,000,000 of 91-Day Treasury Bills
- 3649. Offering of $1,100,000,000 of 91-Day Treasury Bills
- 3650. Offering of $1,100,000,000 of 91-Day Treasury Bills
- 3651. Results of Bidding for Treasury Bills Dated February 8, 1951
- 3653. Common Trust Funds, Amendments to Regulation F, Effective February 5, 1951
- 3652. Two and Three-Quarters Percent Treasury Bonds of 1951-54, Notice of Call for Redemption
- 3654. Regulation X, as Amended Effective February 15, 1951, Real Estate Credit
- 3655. Offering of $1,100,000,000 of 90-Day Treasury Bills
- 3656. Regulation X, Real Estate Credit, Forms of Statement of Borrower
- 3658. Deposits in Treasury Tax and Loan Accounts of Special Depositaries
- 3657. Offering of $1,100,000,000 of 91-Day Treasury Bills
- 3659. Consumer Credit, Amendment No. 2 to Regulation W of the Board of Governors of the Federal Reserve System, Effective February 26, 1951
- 3660. New Series of Federal Reserve Notes
- 3661. Regulation W, Consumer Credit, Designation of Automobile Appraisal Guides
- 3663. Classification of Reserve Cities
- 3662. Offering of $1,100,000,000 of 91-Day Treasury Bills
- 3664. Real Estate Credit, Amendment No. 1 to Regulation X of the Board of Governors of the Federal Reserve System, Effective March 5, 1951
- 3666. Announcement Regarding New Treasury Offering
- 3665. Joint Announcement by the Secretary of the Treasury and the Chairman of the Board of Governors, and of the Federal Open Market Committee, of the Federal Reserve System
- 3667. Operating Ratios of Member Banks in the Second Federal Reserve District for the Year 1950
- 3669. Treasury Exchange Offering, Press Statement
- 3668. Offering of $1,000,000,000 of 91-Day Treasury Bills
- 3670. Offering of $1,000,000,000 of 91-Day Treasury Bills
- 3672. Nomination and Election of Class B Director
- 3677. Regulation X, Real Estate Credit, Interpretations of Regulation X
- 3671. Offering of 2 3/4% Treasury Bonds, Investment Series B-1975-80 in Exchange for 2 1/2% Treasury Bonds of 1967-72, Dated 6/1/45 or 2 1/2% Treasury Bonds of 1967-72, Dated 11/15/45, Offering of 1 1/2% Five-Year Treasury Notes in Exchange for 2 3/4% Treasury Bonds, Investment Series B-1975-80
- 3675. Restrictive Endorsements of United States Bearer Securities
- 3674. Real Estate Credit, Amendment No. 2 to Regulation X of the Board of Governors of the Federal Reserve System, Effective March 21, 1951
- 3673. Bulletin No. 1 of Voluntary Credit Restraint Committee
- 3676. Offering of $1,000,000,000 of 91-Day Treasury Bills
- 3678. Valuation of Nonmarketable Direct Obligations of the United States in Common Trust Funds
- 3679. Income Tax Status of Treasury Bond Exchange Offer
- 3680. Options Open to Owners of Maturing Series E Savings Bonds
- 3681. Offering of $1,000,000,000 of 91-Day Treasury Bills
- 3682. Return of Unpaid Checks and Other Cash Items
- 3687. Regulation W, Consumer Credit, Interpretations of Regulation W
- 3683. Additional Information Regarding 2 3/4 Percent Treasury Bonds, Investment Series B-1975-80
- 3685. Subscription Books Close April 6, 1951 for 2 3/4 Percent Treasury Bonds, Investment Series B-1975-80
- 3684. Real Estate Credit, Amendment No. 3 to Regulation X of the Board of Governors of the Federal Reserve System, Effective April 4, 1951
- 3686. Offering of $1,000,000,000 of 91-Day Treasury Bills
- 3688. Regulation F, Trust Powers of National Banks, as Amended Effective February 5, 1951
- 3690. Regulation W, Consumer Credit, Designation of Automobile Appraisal Guides
- 3689. Offering of $1,000,000,000 of 91-Day Treasury Bills
- 3691. Nomination and Election of Class B Director
- 3692. Offering of $1,000,000,000 of 91-Day Treasury Bills
- 3693. Daylight Saving Time
- 3694. Offering of $1,100,000,000 of 91-Day Treasury Bills
- 3695. Regulation X, Real Estate Credit
- 3696. Offering of $1,100,000,000 of 91-Day Treasury Bills
- 3697. Exchange of Matured Series E Savings Bonds for Series G Savings Bonds Bearing Special Par Redemption Privilege
- 3698. Result of Election of Class B Director
- 3699. Postponement of State and Local Government Financing
- 3700. Treasury Financing, Press Statement
- 3702. Regulation X, Real Estate Credit, Filing Registration Statements
- 3701. Offering of $1,100,000,000 of 91-Day Treasury Bills
- 3704. Treasury Savings Notes, Series A
- 3703. Notice of Call for Redemption
- 3706. Consumer Credit, Amendment No. 3 to Regulation W of the Board of Governors of the Federal Reserve System, Effective May 15, 1951
- 3705. Offering of $1,100,000,000 of 91-Day Treasury Bills
- 3707. Payment of Savings Bonds without Owners' Signatures
- 3708. Offering of $1,100,000,000 of 91-Day Treasury Bills
- 3710. Treasury Financing, Press Statement
- 3712. Regulation V, Loan Guarantees for Defense Production
- 3711. Results of Bidding for Treasury Bills, Dated May 31, 1951
- 3709. Offering of $1,100,000,000 of 91-Day Treasury Bills
- 3713. Deposits of June Tax Collections in Treasury Tax and Loan Accounts
- 3715. Regulation W, Consumer Credit, Large Quantity Sales of Listed Articles
- 3716. Regulation W, Consumer Credit, Pre-effective Date "Balloon" Notes or Payments
- 3714. Offering of 1 7/8% Treasury Certificates of Indebtedness of Series A-1952 in Exchange for 2 3/4% Treasury Bonds of 1951-54 or 1 1/4% Treasury Notes of Series B-1951 or Series C-1951 or Series D-1951
- 3718. Saturday Closing of Banks in Utah
- 3717. Offering of $1,000,000,000 of 91-Day Treasury Bills
- 3721. Loans on Real Estate, Bulletin No. 4 of Voluntary Credit Restraint Committee
- 3719. Offering of $1,000,000,000 of 91-Day Treasury Bills
- 3720. Regulation W, Consumer Credit, Free Merchandise and Rebates
- 3722. Redemption of Treasury Bonds to Pay Federal Estate Tax
- 3723. New Form United States Postal Money Orders to be Issued July 1, 1951
- 3725. Regulation W, Consumer Credit, Interpretations
- 3724. Offering of $1,000,000,000 of 91-Day Treasury Bills
- 3726. Semiannual Dividend
- 3728. Standard Provision in Military Contracts Pertaining to Assignment of Claims
- 3727. Offering of $1,200,000,000 of 91-Day Treasury Bills
- 3729. Deposit of Railroad Retirement Taxes with Depositary Banks
- 3730. Offering of $1,200,000,000 of 91-Day Treasury Bills
- 3732. Treasury Financing, Press Statement
- 3731. Offering of $1,200,000,000 of 91-Day Treasury Bills
- 3733. Consumer Credit Policy Statement
- 3734. Offering of 1 7/8 Percent Treasury Certificates of Indebtedness of Series B-1952 in Exchange for 1 1/4 Percent Treasury Notes of Series E-1951
- 3735. Offering of$1,200,000,000 of 91-Day Treasury Bills
- 3736. Bulletins Nos. 5 and 6 of Voluntary Credit Restraint Committee
- 3738. United States Defense Bonds, New Official Symbol for Issuing Agents
- 3737. Offering of $1,300,000,000 of 91-Day Treasury Bills
- 3739. Consumer Credit, Amendment No. 4 to Regulation W of the Board of Governors of the Federal Reserve System, Effective July 31, 1951
- 3740. Offering of $1,300,000,000 of 91-Day Treasury Bills
- 3742. Regulation W, Consumer Credit, as Amended to July 31, 1951
- 3741. Offering of $1,300,000,000 of 91-Day Treasury Bills
- 3743. Notice of Call for Redemption, 2 1/4 Percent Treasury Bonds of 1951-53
- 3744. Offering of $1,100,000,000 of 92-Day Treasury Bills
- 3745. Offering of $1,100,000,000 of 91-Day Treasury Bills
- 3748. Treasury Financing
- 3747. Results of Bidding for Treasury Bills Dated August 30, 1951
- 3746. Offering of $1,100,000,000 of 91-Day Treasury Bills
- 3749. Amendment No. 11 to Regulation T of the Board of Governors of the Federal Reserve System
- 3751. Deposits of September Tax Collections in Treasury Tax and Loan Accounts
- 3750. First Defense Bond Drive
- 3752. Offering of 1 7/8% Treasury Certificates of Indebtedness of Series C-1952 in Exchange for 3% Treasury Bonds of 1951-55
- 3753. Real Estate Credit, Regulation X, as Amended Effective September 1, 1951
- 3754. Offering of $1,200,000,000 of 91-Day Treasury Bills
- 3755. Consumer Credit, Interpretation of Regulation W
- 3757. Bulletin No. 4 (Revised) of National Voluntary Credit Restraint Committee, Loans on Real Estate
- 3756. Offering of $1,200,000,000 of 91-Day Treasury Bills
- 3758. Offering of 1 7/8% Treasury Certificates of Indebtedness of Series D-1952 in Exchange for 1 1/4% Treasury Notes of Series A-1951
- 3759. Offering of $1,200,000,000 of 91-Day Treasury Bills
- 3761. V-Loan Financing for Increased Production of Machine Tools
- 3760. Return to Standard Time
- 3762. Treasury Financing
- 3764. Nomination and Election of Directors
- 3763. Offering of $1,200,000,000 of 91-Day Treasury Bills
- 3765. Coin Shortage
- 3766. Offering of 1 7/8% Treasury Certificates of Indebtedness of Series E-1952 in Exchange for 1 1/4% Treasury Notes of Series F-1951 or 1 1/4% Treasury Notes of Series G-1951
- 3767. Offering of $1,200,000,000 of 91-Day Treasury Bills
- 3769. Special Offering of 144-Day Treasury Bills, Tax Anticipation Series
- 3770. Offering of $1,250,000,000 of 144-Day Treasury Bills to be Designated "Tax Anticipation Series"
- 3768. Offering of $1,200,000,000 of 91-Day Treasury Bills
- 3772. Results of Bidding for 144-Day Treasury Bills, Dated October 23, 1951, Tax Anticipation Series
- 3771. Offering of $1,200,000,000 of 91-Day Treasury Bills
- 3773. Offering of $1,300,000,000 of 91-Day Treasury Bills
- 3774. Nomination and Election of Directors
- 3775. Offering of $1,300,000,000 of 91-Day Treasury Bills
- 3776. Offering of $1,300,000,000 of 91-Day Treasury Bills
- 3777. Results of Bidding for Treasury Bills Dated November 8, 1951
- 3778. Notice of Call for Redemption, 2 1/2 Percent Treasury Bonds of 1952-54
- 3780. Special Offering of 201-Day Treasury Bills, Tax Anticipation Series
- 3782. Real Estate Credit, Amendment No. 7 to Regulation X of the Board of Governors of the Federal Reserve System, Effective November 19, 1951
- 3781. Offering of $1,250,000,000 of 201-Day Treasury Bills to be Designated "Tax Anticipation Series"
- 3779. Offering of $1,100,000,000 of 90-Day Treasury Bills
- 3783. Results of Election of Directors
- 3784. Results of Bidding for 201-Day Treasury Bills, Dated November 27, 1951, Tax Anticipation Series
- 3785. Offering of $1,100,000,000 of 91-Day Treasury Bills
- 3786. Treasury Financing
- 3788. Deposits of December Tax Collections in Treasury Tax and Loan Accounts
- 3787. Offering of $1,100,000,000 of 91-Day Treasury Bills
- 3789. Offering of 1 7/8% Treasury Certificates of Indebtedness of Series F-1952 in Exchange for 2 1/4% Treasury Bonds of 1951-53
- 3790. Change in Grouping of Treasury Tax and Loan Depositaries
- 3792. Deposits of December Tax Collections in Treasury Tax and Loan Accounts, Amended Instructions
- 3791. Offering of $1,200,000,000 of 91-Day Treasury Bills
- 3793. Offering of $1,200,000,000 of 91-Day Treasury Bills
- 3795. Results of Bidding for Treasury Bills Dated December 20, 1951
- 3794. Offering of $1,200,000,000 of 91-Day Treasury Bills
- 3796. Reprint of the Leading Article in the Federal Reserve Bulletin for November 1951, Entitled "Voluntary Action to Help Curb Inflation"
- 3799. Consumer Credit, Amendment No. 5 to Regulation W of the Board of Governors of the Federal Reserve System, Effective December 31, 1951
- 3797. Bulletin No. 2 (Revised) of National Voluntary Credit Restraint Committee, Restriction of Business Capital Expenditures Financing
- 3800. Results of Bidding for Treasury Bills Dated December 27, 1951
- 3798. Offering of $1,200,000,000 of 91-Day Treasury Bills
- 3801. Real Estate Loans, Amendment No. 8 to Regulation X and Revised Paragraph 5 of Bulletin No. 4 of National Voluntary Credit Restraint Committee
- 3802. Consumer Credit, Amendment No. 6 to Regulation W of the Board of Governors of the Federal Reserve System, Effective January 2, 1952
- Federal Reserve Bank of New York Circulars for the Year 1952 on Certain Operations and Activities Including Those as Fiscal Agent of the United States
- 3804. Regulation X, Real Estate Credit, Interpretations of Regulation X
- 3803. Offering of $1,200,000,000 of 91-Day Treasury Bills
- 3805. Thirty-seventh Annual Statement
- 3806. Interpretation of Regulation U, Loans to Brokers or Dealers
- 3809. Real Estate Credit, Amendment No. 9 to Regulation X of the Board of Governors of the Federal Reserve System, Effective January 9, 1952
- 3808. Member of Federal Advisory Council
- 3810. United States Savings Bonds, Series E, Revision of Operating Circular No. 20
- 3807. Offering of $1,200,000,000 of 91-Day Treasury Bills
- 3811. Offering of $1,200,000,000 of 91-Day Treasury Bills
- 3812. Regulation W, Consumer Credit, Interpretations of Regulation W
- 3813. Offering of $1,300,000,000 of 91-Day Treasury Bills
- 3814. Change in Grouping of Treasury Tax and Loan Depositaries
- 3816. First Amendment to Treasury Circular No. 885, Interest on Matured Series E Savings Bonds
- 3815. Offering of $1,300,000,000 of 91-Day Treasury Bills
- 3817. Offering of $1,300,000,000 of 91-Day Treasury Bills
- 3822. Offering of 2 3/8% Treasury Bonds of 1957-59 in Exchange for 2 1/2% Treasury Bonds of 1952-54, Offering of 1 7/8% Treasury Certificates of Indebtedness of Series A-1953 in Exchange for 1 7/8% Treasury Certificates of Indebtedness of Series A-1952
- 3823. Offering of $1,100,000,000 of 91-Day Treasury Bills
- 3824. Payment of March Taxes - Use of Tax Anticipation Bills, Undesirable Practices
- 3825. Offering of $1,100,000,000 of 91-Day Treasury Bills
- 3827. Deposits of March Tax Collections in Treasury Tax and Loan Accounts
- 3826. Reports of Large and Unusual Currency Transactions, Amended Instructions
- 3828. Offering of $1,200,000,000 of 91-Day Treasury Bills
- 3830. United States Government Checks Payable at Manila
- 3829. Regulation V, Loan Guarantees for Defense Production
- 3831. Offering of $1,200,000,000 of 91-Day Treasury Bills
- 3832. Operating Ratios of Member Banks in the Second Federal Reserve District for the Year 1951
- 3833. Offering of $1,200,000,000 of 91-Day Treasury Bills
- 3834. Consumer Credit, Amendment No. 7 to Regulation W of the Board of Governors of the Federal Reserve System, Effective March 24, 1952
- 3835. Offering of $1,200,000,000 of 91-Day Treasury Bills
- 3837. State and Local Government Financing, Suspension of Screening Under Program for Voluntary Credit Restraint
- 3836. Redemption Notice, Consolidated Federal Farm Loan 1 1/4 Percent Bonds of 1950-52
- 3838. Offering of $1,400,000,000 of 91-Day Treasury Bills
- 3839. Consumer Credit, Amendment No. 8 to Regulation W of the Board of Governors of the Federal Reserve System, Effective April 8, 1952
- 3841. Collection of Maturing Bonds and Coupons Payable Either in United States Dollars or in Canadian Dollars
- 3840. Offering of $1,400,000,000 of 91-Day Treasury Bills
- 3842. Offering of $1,400,000,000 of 91-Day Treasury Bills
- 3843. Daylight Saving Time
- 3844. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 3845. New United States Savings Bonds, Treasury Department Circulars No. 653 Third Revision and No. 906
- 3847. Treasury Financing
- 3846. Offering of $1,300,000,000 of 91-Day Treasury Bills
- 3848. Program for Voluntary Credit Restraint, Suspension of All Screening
- 3851. Consumer Credit, Suspension of Regulation W
- 3850. George Washington Carver and Booker T. Washington Commemorative 50-Cent Pieces
- 3849. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 3852. Unnecessary Cashing of Series E Savings Bonds
- 3854. Offering of 2 3/4 Percent Treasury Bonds
- 3853. Offering of $1,300,000,000 of 91-Day Treasury Bills
- 3855. Treasury Bills, Sixth Amendment to Treasury Department Circular No. 418
- 3856. Offering of $1,300,000,000 of 91-Day Treasury Bills
- 3857. Payment of June Taxes, Use of Tax Anticipation Bills, Deposits in Treasury Tax and Loan Accounts
- 3859. Subscription Books Close May 29, 1952 for 2 3/4 Percent Treasury Bonds, Investment Series B-1975-80
- 3858. Paper Currency and Coin, Revision of Operating Circular No. 3
- 3861. United States Savings Bond, Series H, Treasury Department Circular No. 905
- 3860. Offering of $1,300,000,000 of 91-Day Treasury Bills
- 3862. Offering of $1,200,000,000 of 91-Day Treasury Bills
- 3863. Real Estate Credit, Amendment No. 10 to Regulation X, Effective June 11, 1952
- 3864. Treasury Financing
- 3866. Cash Offering of Treasury Bonds, Subscription and Allotment
- 3865. Offering of $1,200,000,000 of 91-Day Treasury Bills
- 3867. Cash Offering of 2 3/8% Treasury Bonds of 1958, Offering of 1 7/8% Treasury Certificates of Indebtedness of Series B-1953 in Exchange for 1 7/8% Treasury Certificates of Indebtedness of Series B-1952
- 3868. Subscription Books Closed June 16, 1952 for Cash Offering of 2 3/8 Percent Treasury Bonds of 1958
- 3870. 2 3/8 Percent Treasury Bonds of 1958, Amount of Subscriptions and Basis of Allotment
- 3869. Offering of $1,200,000,000 of 91-Day Treasury Bills
- 3871. Payment of Interest on Deposits, Amendment to Regulation Q, Revision of Operating Circular No. 15
- 3872. Offering of $1,200,000,000 of 91-Day Treasury Bills
- 3873. Real Estate Credit, No Present Change in Regulation X
- 3875. Regulations Governing United States Savings Bonds, Seventh Revision of Treasury Department Circular No. 530
- 3874. Offering of $1,400,000,000 of 91-Day Treasury Bills
- 3876. Offering of $1,400,000,000 of 91-Day Treasury Bills
- 3878. Regulation X, Real Estate Credit, Procedures for Relaxing Residential Credit Controls
- 3877. Revised Series E Savings Bond Stock
- 3879. Offering of $1,400,000,000 of 91-Day Treasury Bills
- 3880. Regulations Governing Payment of United States Savings Bonds
- 3881. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 3883. Treasury Financing
- 3882. Offering of $1,300,000,000 of 91-Day Treasury Bills
- 3884. Offering of 2% Treasury Certificates of Indebtedness of Series C-1953 in Exchange for 1 7/8% Treasury Certificates of Indebtedness of Series C-1952 or 1 7/8% Treasury Certificates of Indebtedness of Series D-1952
- 3885. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 3886. Offering of $1,300,000,000 of 91-Day Treasury Bills
- 3887. Offering of $1,300,000,000 of 92-Day Treasury Bills
- 3890. Results of Bidding for 92-Day Treasury Bills Dated August 28, 1952
- 3889. Deposits of September Tax Collections in Treasury Tax and Loan Accounts
- 3888. Offering of $1,300,000,000 of 91-Day Treasury Bills
- 3891. Offering of $1,200,000,000 of 91-Day Treasury Bills
- 3892. Offering of $1,200,000,000 of 91-Day Treasury Bills
- 3893. Offering of 2 1/8% Treasury Notes of Series A-1953 in Exchange for 1 7/8% Treasury Certificates of Indebtedness of Series E-1952
- 3894. Real Estate Credit, Suspension of Regulation X
- 3896. Recording Payment Data on Paid Savings Bonds, Use of Payment Stamps
- 3895. Offering of $1,200,000,000 of 92-Day Treasury Bills
- 3898. Counterfeit Treasury Checks
- 3897. Return to Standard Time
- 3901. Special Offering of 161-Day Treasury Bills, Tax Anticipation Series
- 3900. Nomination and Election of Directors
- 3899. Offering of $1,200,000,000 of 92-Day Treasury Bills
- 3902. Offering of $2,500,000,000 of 161-Day Treasury Bills, to Be Designated "Tax Anticipation Series"
- 3903. Offering of $1,400,000,000 of 91-Day Treasury Bills
- 3904. Results of Bidding for 161-Day Treasury Bills, Dated October 8, 1952, Tax Anticipation Series
- 3905. Membership of State Banking Institutions in the Federal Reserve System, Revision of Regulation H
- 3907. Results of Bidding for Treasury Bills Dated October 9, 1952
- 3906. Offering of $1,400,000,000 of 91-Day Treasury Bills
- 3908. Offering of $1,400,000,000 of 91-Day Treasury Bills
- 3909. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 3910. V-Loan Financing of Letter Contracts and Other Preliminary Contractual Instruments for Defense Production
- 3911. Nomination and Election of Directors
- 3912. Offering of $1,300,000,000 of 91-Day Treasury Bills
- 3913. Special Offering of 210-Day Treasury Bills, Tax Anticipation Series
- 3914. Offering of $1,500,000,000 of 92-Day Treasury Bills
- 3915. Offering of $2,000,000,000 of 210-Day Treasury Bills, to Be Designated "Tax Anticipation Series"
- 3916. Offering of $1,300,000,000 of 91-Day Treasury Bills
- 3918. Results of Bidding for 210-Day Treasury Bills, Dated November 21, 1952, Tax Anticipation Series
- 3917. Results of Election of Directors
- 3919. Offering of Additional Issue of 2% Treasury Certificates of Indebtedness of Series C-1953 in Exchange for 1 7/8% Treasury Certificates of Indebtedness of Series F-1952
- 3920. Offering of $1,300,000,000 of 90-Day Treasury Bills
- 3922. Deposits of December Tax Collections in Treasury Tax and Loan Accounts
- 3921. Offering of $1,300,000,000 of 91-Day Treasury Bills
- 3923. Redemption Notice, Consolidated Federal Farm Loan 1 1/2 Percent Bonds of 1951-53
- 3924. Offering of $1,200,000,000 of 91-Day Treasury Bills
- 3925. Offering of $1,200,000,000 of 91-Day Treasury Bills
- 3926. Offering of $1,200,000,000 of 90-Day Treasury Bills
- 3927. Offering of $1,200,000,000 of 90-Day Treasury Bills
- 3928. Offering of $1,400,000,000 of 91-Day Treasury Bills
- Federal Reserve Bank of New York Circulars for the Year 1953 on Certain Operations and Activities Including Those as Fiscal Agent of the United States
- 3929. Member of Federal Advisory Council
- 3930. Offering of $1,400,000,000 of 91-Day Treasury Bills
- 3931. Thirty-eighth Annual Statement
- 3934. Resignations of Jay E. Crane, Marion B. Folsom and W. Randolph Burgess as Directors
- 3933. Resignation of Robert T. Stevens as Class C Director and as Chairman of the Board and Federal Reserve Agent
- 3932. Offering of $1,400,000,000 of 91-Day Treasury Bills
- 3935. Results of Bidding for Treasury Bills Dated January 15, 1953
- 3936. Treasury Bills, Seventh Amendment to Treasury Department Circular No. 418
- 3937. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 3938. Change in Grouping of Treasury Tax and Loan Depositaries
- 3940. Treasury Financing
- 3939. Change in Printing of Currency
- 3941. Offering of $1,300,000,000 of 91-Day Treasury Bills
- 3943. Nomination and Election of Directors
- 3942. Offering of 2 1/4% Treasury Certificates of Indebtedness of Series A-1954 and 2 1/2% Treasury Bonds of 1958 in Exchange for 1 7/8% Treasury Certificates of Indebtedness of Series A-1953
- 3944. Offering of $1,500,000,000 of 90-Day Treasury Bills
- 3945. Offering of $1,300,000,000 of 91-Day Treasury Bills
- 3946. Notice of Call for Redemption, 2 Percent Treasury Bonds of 1953-55
- 3948. Results of Bidding for Treasury Bills Dated February 19, 1953
- 3947. Offering of $1,300,000,000 of 91-Day Treasury Bills
- 3949. Supplements to Regulations T and U of the Board of Governors of the Federal Reserve System
- 3951. Payment of March Taxes, Use of Tax Anticipation Bills, Deposits in Treasury Tax and Loan Accounts
- 3950. Offering of $1,300,000,000 of 91-Day Treasury Bills
- 3952. Operating Ratios of Member Banks in the Second Federal Reserve District for the Year 1952
- 3953. Nomination and Election of Directors
- 3954. Offering of $1,200,000,000 of 91-Day Treasury Bills
- 3955. Offering of $1,200,000,000 of 91-Day Treasury Bills
- 3956. Offering of $1,200,000,000 of 91-Day Treasury Bills
- 3957. Results of Election of Directors
- 3958. Offering of $1,200,000,000 of 91-Day Treasury Bills
- 3959. Offering of $1,400,000,000 of 91-Day Treasury Bills
- 3960. Change in Printing of Currency
- 3962. Treasury Financing
- 3961. Offering of $1,400,000,000 of 91-Day Treasury Bills
- 3963. United States Savings Bonds, Series E, Revision of Operating Circular No. 20
- 3964. Offering of 3 1/4% Treasury Bonds of 1978-83 for Cash and in Exchange for Series F and G Savings Bonds Maturing May through December 1953
- 3965. Subscription Books Closed April 14, 1953 for Cash Offering of 3 1/4% Treasury Bonds of 1978-83
- 3966. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 3967. 3 1/4% Treasury Bonds of 1978-83, Offering Oversubscribed - Allotments Deferred
- 3969. Payment of Savings Bonds without Owners' Signatures
- 3968. Daylight Saving Time
- 3970. 3 1/4% Treasury Bonds of 1978-83, Basis of Allotment
- 3971. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 3973. 3 1/4% Treasury Bonds of 1978-83, Analysis of Allotments
- 3972. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 3974. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 3975. Offering of New Series of Treasury Savings Notes, Series B
- 3976. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 3977. Treasury Financing
- 3978. Offering of 2 5/8% Treasury Certificates of Indebtedness of Series B-1954 in Exchange for 1 7/8% Treasury Certificates of Indebtedness of Series B-1953 or 2% Treasury Bonds of 1953-55
- 3979. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 3980. Offering of $800,000,000 of 107-Day Treasury Bills to Be Designated "Tax Anticipation Series"
- 3981. Payment of June Taxes, Use of Tax Anticipation Bills, Deposits in Treasury Tax and Loan Accounts
- 3982. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 3983. Results of Bidding for 107-Day Treasury Bills, Dated June 3, 1953, Tax Anticipation Series
- 3984. Offering of $1,400,000,000 of 91-Day Treasury Bills
- 3985. Amendment No. 12 of Regulation U, "Redeemable Securities" of Open-end Investment Companies
- 3986. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 3988. Appendix to Operating Circular No. 17, First Supplement to Operating Circular No. 17
- 3987. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 3990. Supplement to Regulation D, Reserves Required to Be Maintained by Member Banks with Federal Reserve Banks
- 3989. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 3992. Treasury Financing
- 3991. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 3995. Subscription Books Closed July 6, 1953 for Current Offering of 2 1/2 Percent Tax Anticipation Certificates of Series C-1954
- 3994. Deposit of Federal Excise Taxes with Depositary Banks
- 3993. Cash Offering, 2 1/2 Percent Treasury Certificates of Indebtedness of Series C-1954
- 3997. 2 1/2 Percent Treasury Certificates of Indebtedness of Series C-1954, Basis of Allotment
- 3996. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 3998. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 3999. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4000. Deposit of Federal Taxes with Depositary Banks
- 4001. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4002. New List of Securities Subject to Regulation U
- 4003. Treasury Financing
- 4004. Offering of 2 5/8% Treasury Certificates of Indebtedness of Series D-1954 in Exchange for 2% Treasury Certificates of Indebtedness of Series C-1953
- 4005. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4006. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4007. Offering of $1,500,000,000 of 92-Day Treasury Bills
- 4008. September Income Tax Payments, Not to be Deposited in Treasury Tax and Loan Accounts
- 4009. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4010. Treasury Financing
- 4011. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4013. Results of Bidding for Treasury Bills Dated September 3, 1953
- 4012. Offering of 2 5/8% Treasury Certificates of Indebtedness of Series E-1954 and 2 7/8% Treasury Notes of Series A-1957 in Exchange for 2% Treasury Bonds of 1951-53
- 4016. 2 5/8% Treasury Certificates of Indebtedness of Series E-1954 and 2 7/8% Treasury Notes of Series A-1957, Amounts of Subscriptions
- 4015. Interpretations of Regulations T and U
- 4014. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4017. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4018. Return to Standard Time
- 4019. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4020. Nomination and Election of Directors
- 4021. Treasury Savings Notes, Series B, Withdrawal from Sale
- 4022. Interest Rates on New Treasury Savings Notes
- 4024. Offering of New Series of Treasury Savings Notes, Series C
- 4023. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4026. Results of Bidding for Treasury Bills Dated October 8, 1953
- 4025. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4028. Cash Offering, 2 1/2 Per Cent Commodity Credit Corporation Certificates of Interest
- 4027. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4029. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4030. Treasury Savings Notes, Series C, Withdrawal from Sale
- 4032. Treasury Financing
- 4035. Results of Bidding for Treasury Bills Dated October 29, 1953
- 4031. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4036. Subscription Books Closed October 28, 1953 for Current Offering of 2 3/4 Percent Treasury Bonds of 1961
- 4034. Nomination and Election of Directors
- 4033. Cash Offering, 2 3/4 Percent Treasury Bonds of 1961
- 4037. Payment of Interest on Deposits, Revision of Operating Circular No. 15
- 4039. 2 3/4 Percent Treasury Bonds of 1961, Basis of Allotment
- 4038. Endorsement of Checks by Special Depositaries of Public Moneys
- 4040. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4041. 2 3/4 Percent Treasury Bonds of 1961, Analysis of Allotments
- 4042. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4044. Validation of German Dollar Bonds
- 4043. Results of Election of Directors
- 4045. Treasury Financing
- 4046. Offering of 2 1/2% Treasury Bonds of 1958, Additional Issue or 1 7/8% Treasury Notes of Series B-1954 in Exchange for 2 1/8% Treasury Notes of Series A-1953
- 4047. Offering of $1,500,000,000 of 90-Day Treasury Bills
- 4048. 1 7/8% Treasury Notes of Series B-1954 and 2 1/2% Treasury Bonds of 1958, Additional Issue - Amounts of Subscriptions
- 4049. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4050. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4051. Cash Offering, 2 1/4 Per Cent Commodity Credit Corporation Certificates of Interest
- 4052. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4053. Holders of Maturing Series F and G Savings Bonds Invited to Reinvest in Savings Bonds
- 4054. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4055. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4056. Offering of $1,500,000,000 of 91-Day Treasury Bills
- Federal Reserve Bank of New York Circulars for the Year 1954 on Certain Operations and Activities Including Those as Fiscal Agent of the United States
- 4057. Member of Federal Advisory Council
- 4058. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4059. Thirty-ninth Annual Statement
- 4060. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4061. Cash Offering, 2 1/8 Per Cent Commodity Credit Corporation Certificates of Interest
- 4062. United States Savings Stamps, Acceptance in Payment of Savings Bonds
- 4063. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4065. Treasury Financing
- 4064. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4066. Exchange Offering for 1 5/8 Percent Treasury Certificates of Indebtedness of Series A-1955 and 2 1/2 Percent Treasury Bonds of 1961
- 4067. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4069. Current Exchange Offering, Amounts of Subscriptions
- 4068. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4070. Call of Two Issues of Treasury Bonds
- 4071. United States Gold Coin of Recognized Special Value to Collectors of Rare and Unusual Coin
- 4074. Results of Bidding for Treasury Bills Dated February 18, 1954
- 4073. Change in Grouping of Treasury Tax and Loan Depositaries
- 4072. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4075. Offset Printing of $25 Series E Savings Bonds
- 4076. Classification of Reserve Cities
- 4078. Stolen United States Government Checks
- 4077. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4079. Deposits of March Tax Collections in Treasury Tax and Loan Accounts
- 4080. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4081. Special Offering of Treasury Tax Bills
- 4082. Reports of Transactions in Foreign Exchange, Transfers of Credit, and the Export of Coin and Currency, Revision of Operating Circular No. 19
- 4083. Offering of $1,500,000,000 of 94-Day Treasury Bills to Be Designated "Tax Anticipation Series"
- 4084. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4085. Operating Ratios of Member Banks in the Second Federal Reserve District for the Year 1953
- 4086. Results of Bidding for 94-Day Treasury Bills, Dated March 22, 1954, Tax Anticipation Series
- 4087. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4088. Buffalo Branch Territory Enlarged
- 4089. Series E Savings Bonds, Registration in Names of Trustees of Employees' Payroll Savings Plans
- 4090. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4091. Revision of Time Schedules
- 4093. Postal Money Orders, Amendment to Operating Circular No. 4
- 4092. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4094. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4096. Special Offering of Treasury Tax Anticipation Bills
- 4098. Discount Rate
- 4095. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4097. Offering of $1,000,000,000 of 52-Day Treasury Bills to Be Designated "Tax Anticipation Series"
- 4099. Daylight Saving Time
- 4102. Results of Bidding for 52-Day Treasury Bills, Dated April 27, 1954, Tax Anticipation Series
- 4101. Collection of Cash and Noncash Items Drawn on, or Payable at or Through City National Bank of Anchorage, Alaska
- 4100. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4103. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4104. Exchange Offering, 1 1/8 Percent Treasury Certificates of Indebtedness of Series B-1955; Cash and Exchange Offering, 1 7/8 Percent Treasury Notes of Series A-1959
- 4105. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4106. Cash Offering, 1 7/8 Percent Treasury Notes of Series A-1959, Basis of Allotment
- 4108. Current Cash and Exchange Offerings, Amounts of Subscriptions
- 4107. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4109. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4110. Deposits of June Tax Collections in Treasury Tax and Loan Accounts
- 4112. Results of Bidding for Treasury Bills Dated June 3, 1954
- 4111. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4113. Processing Paid Savings Bonds, Change in Procedure at Federal Reserve Banks
- 4114. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4115. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4116. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4117. Supplement to Regulation D, Reserves Required to be Maintained by Member Banks with Federal Reserve Banks, Reduction in Reserve Requirements
- 4118. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4120. Results of Bidding for Treasury Bills Dated July 1, 1954
- 4119. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4121. Change in Classification of Member Banks for Voting Purposes
- 4122. Notice of Call for Redemption by the Twelve Federal Land Banks
- 4123. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4124. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4126. Cash Offering, 1 Percent Treasury Certificates of Indebtedness of Series C-1955
- 4125. Collection of Cash and Noncash Items Payable in Territories, Dependencies, Insular Possessions and Parts of the United States Outside the Continental United States
- 4127. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4130. Current Cash Offering, 1 Percent Tax Anticipation Certificates of Indebtedness, Basis of Allotment
- 4129. Notes of Other Federal Reserve Banks
- 4128. Paper Currency and Coin, Revision of Operating Circular No. 3
- 4131. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4132. Offering of 1 1/8% Treasury Certificates of Indebtedness of Series D-1955 and 2 1/8% Treasury Bonds of 1960 in Exchange for 2 5/8% Treasury Certificates of Indebtedness, Series D-1954 and Series E-1954
- 4133. Offering of $1,500,000,000 of 92-Day Treasury Bills
- 4134. Current Exchange Offering, Amounts of Subscriptions
- 4136. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4135. Notice of Call for Redemption, 2 Percent Treasury Bonds of 1951-55
- 4137. Current Exchange Offering, Amounts of Subscriptions
- 4138. Offering of $1,500,000,000 of 92-Day Treasury Bills
- 4139. September Income Tax Payments, Not to be Deposited in Treasury Tax and Loan Accounts
- 4140. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4142. Results of Bidding for Treasury Bills Dated September 2, 1954
- 4141. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4143. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4144. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4145. Cash Offering, 1 5/8 Percent Treasury Notes of Series B-1957
- 4146. Return to Standard Time
- 4147. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4148. Nomination and Election of Directors
- 4149. Current Cash Offering, 1 5/8 Percent Treasury Notes of Series B-1957, Basis of Allotment
- 4150. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4152. Current Cash Offering, 1 5/8 Percent Treasury Notes of Series B-1957, Amounts of Subscriptions
- 4151. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4153. Federal Farm Loan Bonds, Redemption of November 1 Maturities, Announcement of New Offering
- 4154. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4155. Amendment to Regulation K, Broader Lending and Fund-raising Powers for Edge Act Corporations
- 4156. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4157. Cash Offering, 1 5/8 Per Cent Commodity Credit Corporation Certificates of Interest
- 4158. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4159. Nomination and Election of Directors
- 4160. Offering of $1,500,000,000 of 90-Day Treasury Bills
- 4161. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4162. Notice of Call for Redemption, 2 7/8 Percent Treasury Bonds of 1955-60
- 4163. Results of Election of Directors
- 4165. Treasury Financing
- 4164. Offering of $1,500,000,000 of 90-Day Treasury Bills
- 4166. Offering of 1 1/8% Treasury Certificates of Indebtedness of Series D-1955, 1 1/4% Treasury Certificates of Indebtedness of Series E-1955 and 2 1/2% Treasury Bonds of 1963 in Exchange for 1 7/8% Treasury Notes of Series B-1954, 2% Treasury Bonds of 1951-55, Called for Redemption on December 15, 1954
- 4167. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4168. Current Exchange Offering, Amounts of Subscriptions
- 4169. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4170. Current Exchange Offering, Final Tabulation of Subscriptions
- 4171. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4172. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4173. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4175. Commercial Banks May Own 2 1/2 Percent Treasury Bonds of 1967-72
- 4174. Series E and H Savings Bonds, Eligible for Purchase by Personal Trust Estates
- 4177. Prospective Cash Offering of Series ML Notes of Federal National Mortgage Association
- 4176. Offering of $1,500,000,000 of 91-Day Treasury Bills
- Federal Reserve Bank of New York Circulars for the Years 1955-1956 on Certain Operations and Activities Including Those as Fiscal Agent of the United States
- 4178. Federal Farm Loan Bonds, Redemption of February 1 Maturity, Announcement of New Offering
- 4181. Member of Federal Advisory Council
- 4179. Margin Requirements Increased
- 4180. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4183. Cash Offering, 2 1/2 Percent Federal National Mortgage Association Notes of Series ML-1958-A
- 4182. Fortieth Annual Statement
- 4184. Current Cash Offering of FNMA Notes, Subscription Books Closed January 11, 1955
- 4186. 15 Percent Probable Allotment of FNMA Notes
- 4185. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4187. Basis of Allotment of FNMA Notes
- 4189. Current FNMA Note Offering, Subscriptions and Allotments
- 4188. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4190. Advances and Discounts, Revision of Regulation A
- 4192. Treasury Financing
- 4191. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4193. Exchange Offering 2 7/8 Percent Treasury Bonds of 1955-60, Called March 15, 1955, Exchangeable for 3 Percent Treasury Bonds of 1995, or 1 5/8 Percent Treasury Notes, Maturing March 15, 1956; 1 5/8 Percent Treasury Certificates of Indebtedness, Maturing February 15, 1955, and 1 1/2 Percent Treasury Notes, Maturing March 15, 1955, Exchangeable for 1 5/8 Percent Treasury Notes, Maturing March 15, 1956, or 2 Percent Treasury Notes, Maturing August 15, 1957
- 4194. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4195. Current Exchange Offering, Tabulation of Subscriptions
- 4197. Change in Grouping of Treasury Tax and Loan Depositaries
- 4196. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4199. Recent Exchange Offering, Final Tabulation of Subscriptions
- 4200. Advances and Discounts, Revision of Operating Circular No. 12
- 4198. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4201. Chain-letter Scheme Using Savings Bonds
- 4203. Deposits of March Tax Collections in Treasury Tax and Loan Accounts
- 4202. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4205. United States Savings Bonds, Series E, Revision of Operating Circular No. 20
- 4204. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4206. Savings Bonds Not Accepted for Safekeeping After March 31, 1955
- 4207. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4208. Operating Ratios of Member Banks in the Second Federal Reserve District for the Year 1954
- 4210. Treasury Financing
- 4209. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4211. Cash Offering, 1 3/8 Percent Treasury Certificates of Indebtedness of Series F-1955
- 4213. Current Cash Offering, Amounts of Subscriptions
- 4212. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4214. Current Cash Offering, 1 3/8 Percent Tax Anticipation Certificates of Indebtedness, Basis of Allotment
- 4216. Current Cash Offering, 1 3/8 Percent Tax Anticipation Certificates of Indebtedness, Amounts of Subscriptions and Allotments
- 4215. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4217. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4218. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4219. Daylight Saving Time
- 4220. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4221. Margin Requirements Increased
- 4223. Treasury Financing
- 4222. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4224. Offering of 2 Percent Treasury Notes of Series B-1956 for Cash and in Exchange for 1 1/8 Percent Treasury Certificates of Indebtedness, Maturing May 17, 1955
- 4226. Current Cash Offering, 2 Percent Treasury Notes of Series B-1956, Probable Basis of Allotment
- 4225. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4227. Current Cash Offering, 2 Percent Treasury Notes of Series B-1956, 62 Percent Allotment Confirmed
- 4230. Current Cash and Exchange Offering, 2 Percent Treasury Notes of Series B-1956, Amounts of Subscriptions and Allotments
- 4229. Amendments to Regulations D and Q, Definition of "Savings Deposits" Broadened
- 4228. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4231. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4232. General Regulations Governing United States Securities, Treasury Department Circular No. 300, Revised
- 4234. Results of Bidding for Treasury Bills Dated May 26, 1955
- 4233. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4235. Deposits of June Tax Collections in Treasury Tax and Loan Accounts
- 4236. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4238. Collective Investment of Trust Funds, Amendment to Regulation F
- 4237. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4239. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4240. Offering of $1,500,000,000 of 91-Day Treasury Bills
- 4241. Treasury Financing
- 4243. Results of Bidding for Treasury Bills Dated June 30, 1955
- 4242. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4244. Treasury Financing
- 4245. Cash Offering, 1 7/8% Treasury Tax Anticipation Certificates of Indebtedness of Series A-1956 and 3% Treasury Bonds of 1995, Additional Issue
- 4246. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4247. Current Cash Offering, 1 7/8% Treasury Tax Anticipation Certificates, Basis of Allotment
- 4249. Current Cash Offering, 3% Treasury Bonds of 1995, Additional Issue, Basis of Allotment
- 4248. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4250. Treasury Financing
- 4252. Current Cash Offering, 1 7/8% Tax Anticipation Certificates of Indebtedness of Series A-1956, Amounts of Subscriptions and Allotments
- 4251. Offering of 2% Tax Anticipation Certificates of Indebtedness of Series B-1956 or 2% Notes of Series B-1956 in Exchange for 1 1/8% Certificates of Indebtedness of Series D-1955
- 4254. Current Cash Offering, 3% Treasury Bonds of 1995, Additional Issue, Amounts of Subscriptions and Allotments
- 4253. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4255. Current Exchange Offering, Amount of Maturing Certificates Exchanged
- 4256. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4258. Final Results of Current Exchange Offering
- 4257. Change in Grouping of Treasury Tax and Loan Depositaries
- 4259. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4260. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4261. Offering of $1,600,000,000 of 92-Day Treasury Bills
- 4262. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4264. Results of Bidding for Treasury Bills Dated September 1, 1955
- 4263. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4265. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4266. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4267. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4268. Nomination and Election of Directors
- 4270. Treasury Financing
- 4269. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4271. Treasury Cash Offering, 2 1/4% Tax Anticipation Certificates of Indebtedness of Series C-1956
- 4272. Treasury's Current Cash Offering, 2 1/4% Tax Anticipation Certificates of Indebtedness of Series C-1956, Amount of Subscriptions
- 4274. Treasury's Current Cash Offering, 2 1/4% Tax Anticipation Certificates of Indebtedness of Series C-1956, Basis of Allotment
- 4273. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4275. Treasury's Current Cash Offering, 2 1/4% Tax Anticipation Certificates of Indebtedness of Series C-1956, Amounts of Subscriptions and Allotments
- 4276. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4277. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4278. Return to Standard Time
- 4279. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4280. Nomination and Election of Directors
- 4281. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4282. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4283. Results of Election of Directors
- 4284. Offering of $1,600,000,000 of 90-Day Treasury Bills
- 4285. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4286. Offering of 2 5/8% Certificates of Indebtedness of Series D-1956 or 2 7/8% Notes of Series A-1958 in Exchange for 1 1/4% Certificates of Indebtedness of Series E-1955 or 1 3/4% Notes of Series B-1955
- 4287. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4288. Treasury's Current Exchange Offerings, Preliminary Figures of Maturing Securities Exchanged
- 4289. Dating of Depositary Receipts by Depositaries for Federal Taxes
- 4290. Offering of $1,500,000,000 of 99-Day Treasury Bills to Be Designated "Tax Anticipation Series"
- 4292. Treasury's Current Exchange Offering, Final Results
- 4291. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4293. Results of Bidding for 99-Day Treasury Bills, Dated December 15, 1955, Tax Anticipation Series
- 4294. Member of Federal Advisory Council
- 4295. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4296. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4297. Results of Bidding for Treasury Bills Dated December 22, 1955
- 4298. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4299. Results of Bidding for Treasury Bills Dated December 29, 1955
- 4300. Appointment of Directors
- 4301. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4302. Forty-first Annual Statement
- 4304. Appointment of Director of Buffalo Branch
- 4303. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4305. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4306. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4307. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4309. Results of Bidding for Treasury Bills Dated February 9, 1956
- 4308. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4310. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4311. Deposits of March Tax Collections in Treasury Tax and Loan Accounts
- 4312. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4314. Treasury Financing
- 4313. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4316. Supplement to List of Stocks Registered on National Securities Exchanges and of Redeemable Securities of Certain Investment Companies
- 4315. 2 5/8% Certificates of Indebtedness of Series A-1957 or 2 7/8% Notes of Series A-1958, Additional Issue, Offered in Exchange for 1 5/8% Notes of Series A-1956; 2 5/8% Certificates of Indebtedness of Series A-1957 Offered in Exchange for 1 1/2% Notes of Series EA-1956
- 4317. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4318. Treasury's Current Exchange Offerings, Preliminary Figures on Exchanges of Maturing Issues
- 4320. Treasury's Current Exchange Offering, Final Results
- 4319. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4321. Operating Ratios of Member Banks in the Second Federal Reserve District for the Year 1955
- 4322. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4323. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4324. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4326. Federal Farm Loan Bonds, Redemption of May 1 Maturity, Offering of Two New Issues
- 4325. Paper Currency and Coin, Revision of Operating Circular No. 3
- 4327. Change in Grouping of Treasury Tax and Loan Depositaries, Groups A and B Reclassified According to Uncalled April 9, 1956 Closing Balances
- 4328. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4329. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4330. Daylight Saving Time
- 4332. Amendment No. 12 to Regulation T of the Board of Governors of the Federal Reserve System
- 4331. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4333. Resignation of Allan Sproul
- 4334. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4335. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4336. Notice of Call for Redemption, 2 3/4 Percent Treasury Bonds of 1956-59
- 4337. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4338. Deposits of June Tax Collections in Treasury Tax and Loan Accounts
- 4339. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4340. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4341. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4342. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4343. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4344. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4345. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4347. Treasury Financing
- 4346. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4349. New Form of Government Check, Buff-colored Card Checks Will Appear Beginning August 1, 1956
- 4348. 2 3/4% Treasury Notes of Series D-1957 Offered in Exchange for 2% Treasury Notes of Series B-1956 or 1 1/2% Treasury Notes of Series EO-1956
- 4350. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4351. Treasury's Current Exchange Offering, Preliminary Figures on Exchanges of Maturing Issues
- 4353. Treasury's Current Exchange Offering, Final Results
- 4352. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4354. Egyptian Assets Control Regulations
- 4355. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4357. Egyptian Assets Control Regulations, Current Transactions Licensed
- 4356. Cash Offering, 2 3/4 Percent Treasury Certificates of Indebtedness of Series B-1957
- 4359. Treasury's Current Cash Offering, 2 3/4 Percent Tax Anticipation Certificates of Indebtedness of Series B-1957, Amount of Subscriptions and Basis of Allotment
- 4358. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4360. Treasury's Current Cash Offering, 2 3/4 Percent Tax Anticipation Certificates of Indebtedness of Series B-1957, Amounts of Subscriptions and Allotments
- 4361. Offering of $1,600,000,000 of 92-Day Treasury Bills
- 4362. Regulation Y, Effective September 1, 1956, Bank Holding Companies
- 4363. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4364. Federal Farm Loan Bonds, Redemption of September 14 Maturity, Offering of Two New Issues
- 4366. Results of Bidding for Treasury Bills Dated August 30, 1956
- 4365. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4367. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4368. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4369. Missing Mail Pouch of New One Dollar Silver Certificates
- 4370. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4371. Nomination and Election of Directors
- 4372. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4374. Special Cash Offering of 91-Day Treasury Bills
- 4373. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4375. Special Cash Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4376. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4377. Results of Bidding on Special Cash Offering of 91-Day Treasury Bills
- 4378. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4379. Return to Standard Time
- 4380. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4381. Nomination and Election of Directors
- 4382. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4384. Results of Bidding for Treasury Bills Dated November 8, 1956
- 4383. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4385. Special Cash Offering of $1,750,000,000 of 91-Day Treasury Bills
- 4387. Results of Bidding on Special Cash Offering of 91-Day Treasury Bills
- 4386. Results of Election of Directors
- 4388. Offering of $1,600,000,000 of 90-Day Treasury Bills
- 4389. 3 1/4% Certificates of Indebtedness of Series C-1957, Tax Anticipation Series or 3 1/4% Certificates of Indebtedness of Series D-1957 Offered in Exchange for 2 5/8% Certificates of Indebtedness of Series D-1956
- 4390. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4391. Treasury's Current Exchange Offerings, Preliminary Figures on Exchanges of Maturing Certificates
- 4392. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4393. Treasury's Current Exchange Offerings, Final Results
- 4394. Interest on Time and Savings Deposits, New Supplement, Effective January 1, 1957, to Regulation Q
- 4395. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4397. Member of Federal Advisory Council
- 4396. Offering of $1,000,000,000 of 95-Day Treasury Bills to Be Designated "Tax Anticipation Series"
- 4399. Results of Bidding for 95-Day Treasury Bills, Dated December 17, 1956, Tax Anticipation Series
- 4398. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4401. Results of Bidding for Treasury Bills Dated December 20, 1956
- 4400. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4403. Results of Bidding for Treasury Bills Dated December 27, 1956
- 4402. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4404. Appointment of Directors
- Federal Reserve Bank of New York Circulars for the Years 1957-1958 on Certain Operations and Activities Including Those as Fiscal Agent of the United States
- 4405. Payment of Interest on Time and Savings Deposits, Revision of Operating Circular No. 15
- 4406. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4407. Forty-Second Annual Statement
- 4408. Offering of $1,600,000,000 of 159-Day Treasury Bills
- 4409. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4410. Transfers of Funds, Revision of Operating Circular No. 10
- 4411. Results of Bidding for 159-Day Treasury Bills, Dated January 16, 1957, Tax Anticipation Series
- 4413. Results of Bidding for Treasury Bills Dated January 17, 1957
- 4412. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4414. Revision of Regulation K, Corporations Doing Foreign Banking or Other Foreign Financing Under the Federal Reserve Act
- 4416. Treasury Financing -- Treasury Bills
- 4415. Offering of $1,700,000,000 of 91-Day Treasury Bills
- 4417. Federal Farm Loan Bonds -- Redemption of February 15 Maturity -- Offering of Two New Issues
- 4419. Treasury Financing -- Exchange of Certificates and Notes Maturing in February, March, and April -- Offering of 129-Day Tax Anticipation Bills
- 4418. Offering of $1,700,000 of 91-Day Treasury Bills
- 4420. Offering of $1,750,000,000 of 129-Day Treasury Bills, To Be Designated "Tax Anticipation Series"
- 4421. 3 3/8 Percent Treasury Certificates of Indebtedness of Series A-1958 Offered in Exchange For 2 5/8 Percent Treasury Certificates of Indebtedness of Series A-1957, or 2 7/8 Percent Treasury Notes of Series A-1957, or 1 1/2 Percent Treasury Notes of Series EA-1957, 3 1/2 Percent Treasury Notes of Series A-1960 Offered in Exchange for 2 5/8 Percent Treasury Certificates of Indebtedness of Series A-1957, or 2 7/8 Percent Treasury Notes of Series A-1957
- 4422. Offering of $1,700,000,000 of 91-Day Treasury Bills
- 4424. Treasury's Current Exchange Offerings, Preliminary Figures on Exchange of Maturing Issues
- 4423. Results of Bidding for 129-Day Treasury Bills, Dated February 15, 1957 Tax Anticipation Series
- 4426. Treasury's Current Exchange Offerings, Final Results
- 4427. United States Savings Bonds, Treasury Proposes Legislation Authorizing Higher Yields
- 4425. Offering of $1,800,000,000 of 91-Day Treasury Bills
- 4428. Deposits of March Tax Collections in Treasury Tax and Loan Accounts
- 4429. Offering of $1,800,000,000 of 92-Day Treasury Bills
- 4430. Classification of Reserve Cities
- 4431. Offering of $1,800,000,000 of 91-Day Treasury Bills
- 4432. Treasury Financing
- 4433. Offering of $1,800,000,000 of 91-Day Treasury Bills
- 4434. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4435. Treasury Financing
- 4436. Cash Offerings, 3 3/8 Percent Treasury Certificates of Indebtedness of Series A-1958, Additional Issue, and 3 1/2 Percent Treasury Notes of Series A-1960, Additional Issue
- 4438. Deposits of March Tax Collections in Treasury Tax and Loan Accounts, Amended Instructions
- 4437. Sale of Series J and K Savings Bonds to be Terminated
- 4441. Treasury's Current Cash Offerings, Basis of Allotment
- 4439. Nomination and Election of Class B Director, Term Ending December 31, 1957
- 4442. Operating Ratios of Member Banks in the Second Federal Reserve District for the Year 1956
- 4444. Treasury's Current Cash Offerings, Amounts of Subscriptions and Allotments
- 4443. Offering of $1,600,000,000 of 92-Day Treasury Bills
- 4445. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4446. Federal Farm Loan Bonds -- Redemption of May 1 Maturity -- Offering of Two New Issues
- 4447. Series F and G Savings Bonds, No Exchange Offering in April
- 4448. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4449. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4450. United States Savings Bonds, Higher Yields on Series E and H Bonds Issued On or After February 1, 1957
- 4451. Nomination and Election of Class B Director, Term Ending December 31, 1957
- 4453. Daylight Saving Time
- 4452. Offering of $1,700,000,000 of 91-Day Treasury Bills
- 4455. Treasury Financing
- 4454. Offering of $1,700,000,000 of 91-Day Treasury Bills
- 4456. 3 1/2 Percent Treasury Certificates of Indebtedness of Series B-1958 or 3 5/8 Percent Treasury Notes of Series A-1962 Offered in Exchange for 1 5/8 Percent Treasury Notes of Series B-1957
- 4457. Endorsement and Payment of Government Checks
- 4458. Offering of $1,700,000,000 of 91-Day Treasury Bills
- 4460. Treasury's Current Exchange Offerings, Preliminary Figures on Exchange of Maturing Notes
- 4459. Result of Election of Class B Director, Term Ending December 31, 1957
- 4461. Treasury's Current Exchange Offerings, Final Results
- 4464. Offering of Treasury Tax Anticipation Bills, Indefinite Postponement of Series F and G Savings Bond Exchange
- 4463. Regulation V, Loan Guarantees for Defense Production
- 4462. Offering of $1,800,000,000 of 91-Day Treasury Bills
- 4466. Offering of $1,500,000,000 of 119-Day Treasury Bills To Be Designated "Tax Anticipation Series"
- 4465. Transactions in United States Securities Other Than Savings Bonds, Revision of Operating Circular No. 17 and its Appendix
- 4467. Deposits of June Tax Collections in Treasury Tax and Loan Accounts
- 4468. Central Reserve and Reserve Cities -- Amendment to Rule Governing Classification -- Miami, Florida, Classified a Reserve City, Effective May 15, 1958
- 4470. Amendment No. 13 to Regulation T of the Board of Governors of the Federal Reserve System
- 4471. Results of Bidding for 119-Day Treasury Bills, Dated May 27, 1957, Tax Anticipation Series
- 4469. Offering of $1,800,000,000 of 90-Day Treasury Bills
- 4473. United States Savings Bonds, Punch-Card E Bonds to be Issued October 1
- 4472. Offering of $1,800,000,000 of 91-Day Treasury Bills
- 4474. Offering of $1,800,000,000 of 91-Day Treasury Bills
- 4475. Collection of Cash Items and Noncash Items Drawn on, or Payable at or Through Virgin Islands National Bank
- 4476. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4479. Special Offering of Treasury Tax Anticipation Bills
- 4478. Collection of Cash Items and Noncash Items Payable in the Virgin Islands
- 4477. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4480. Federal Farm Loan Bonds -- Redemption of July 15 Maturity -- Offering of Two New Issues
- 4481. Offering of $3,000,000,000 of 264-Day Treasury Bills To Be Designated "Tax Anticipation Series"
- 4484. Change in Classification of Member Banks for Purpose of Electing Directors
- 4483. Results of Bidding for 264-Day Treasury Bills, Dated July 3, 1957, Tax Anticipation Series
- 4482. Offering of $1,600,000,000 of 90-Day Treasury Bills
- 4485. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4486. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4487. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4488. Treasury Financing
- 4489. 3 5/8 Percent Treasury Certificates of Indebtedness of Series E-1957, 4 Percent Treasury Certificates of Indebtedness of Series C-1958, 4 Percent Treasury Notes of Series A-1961, Offered in Exchange for August and October Maturities
- 4490. Offering of $1,700,000,000 of 91-Day Treasury Bills
- 4491. Treasury's Current Exchange Offerings, Preliminary Figures on Exchanges of Maturing Securities
- 4493. Treasury's Current Exchange Offerings, Final Results
- 4492. Offering of $1,700,000,000 of 91-Day Treasury Bills. Revised Treasury Bill Tender Form7/31/1957
- 4495. Special Cash Offering of Treasury Bills
- 4494. Offering of $1,700,000,000 of 91-Day Treasury Bills
- 4496. Special Cash Offering of $1,750,000,000 of 237-Day Treasury Bills
- 4497. Offering of $1,800,000,000 of 91-Day Treasury Bills
- 4498. Offering of Bidding for Special Cash Offering of 237-Day Treasury Bills
- 4499. Offering of $1,800,000,000 of 92-Day Treasury Bills
- 4501. Results of Bidding for 92-Day Treasury Bills Dated August 29, 1957
- 4500. Offering of $1,800,000,000 of 91-Day Treasury Bills
- 4502. Offering of $1,800,000,000 of 91-Day Treasury Bills
- 4504. Federal Farm Loan Bonds -- Redemption of October 1 Maturity -- Offering of Two New Issues
- 4505. Treasury Financing
- 4503. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4506. Cash Offerings, 4 Percent Treasury Certificates of Indebtedness of Series C-1958, Additional Issue, 4 Percent Treasury Notes of Series B-1962, and 4 Percent Treasury Bonds of 1969
- 4508. Treasury's Current Cash Offerings -- Bases of Allotment -- Amounts of Subscriptions
- 4507. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4510. Treasury's Current Cash Offerings, Amounts of Subscriptions and Allotments
- 4509. Nomination and Election of Directors
- 4511. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4512. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4513. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4515. Time Limit on Payment of Government Checks
- 4516. Dating of Depositary Receipts by Depositaries for Federal Taxes
- 4514. Prospective Cash Offering of Series ML Notes of Federal National Mortgage Association
- 4518. FNMA Cash Financing
- 4517. Offering of $1,600,000,000 of 91-Day Treasury Bills
- 4519. Cash Offering, 4 7/8 Percent Federal National Mortgage Association Notes of Series ML-1958-B
- 4521. Basis of Allotment of FNMA Notes
- 4522. Revision of Operating Circulars Nos. 5, 6 and 7
- 4520. Offering of $1,700,000,000 of 91-Day Treasury Bills
- 4523. Chain-Letter Scheme Using Savings Bonds
- 4524. Current FNMA Note Offering
- 4525. Nomination and Election of Directors
- 4526. Offering of $1,700,000,000 of 91-Day Treasury Bills
- 4527. Offering of $1,700,000,000 of 91-Day Treasury Bills
- 4528. Results of Bidding for 91-Day Treasury Bills Dated November 7, 1957
- 4529. Offering of $1,800,000,000 of 91-Day Treasury Bills
- 4530. Results of Election of Directors
- 4531. Cash and Exchange Offerings
- 4532. 3 3/4 Percent Treasury Certificates of Indebtedness of Series D-1958 Offered in Exchange for 3 5/8 Percent Treasury Certificates of Indebtedness of Series E-1957
- 4533. Offering of $1,800,000,000 of 90-Day Treasury Bills
- 4534. Current Cash Offering, 3 3/4 Percent Treasury Notes of Series C-1962
- 4535. Current Cash Offerings, 3 7/8 Percent Treasury Bonds of 1974, 3 3/4 Percent Treasury Notes of Series C-1962, Bases of Allotments
- 4537. Current Exchange and Cash Offerings, 3 3/4 Percent Treasury Certificates of Indebtedness of Series D-1958, 3 3/4 Percent Treasury notes of Series C-1962, 3 7/8 Percent Treasury Bonds of 1974, Amounts of Subscriptions and Allotments
- 4536. Offering of $1,800,000,000 of 91-Day Treasury Bills
- 4538. Collection of Cash Items and Noncash Items Payable in Puerto Rico
- 4540. Series E and H Savings Bonds, Effective January 1, Eligible Purchasers Will Include All Investors Except Commercial Banks
- 4539. Offering of $1,800,000,000 of 91-Day Treasury Bills
- 4541. Member of Federal Advisory Council
- 4542. Offering of $1,700,000,000 of 91-Day Treasury Bills
- 4543. Offering of $1,700,000,000 of 91-Day Treasury Bills
- 4544. Cash Items and Noncash Items Payable in Puerto Rico, Protest and Wire Advice
- 4545. Informal Closing Hour for Receipt at Head Office of Certain Immediate-Credit Items
- 4546. Offering of $1,700,000,000 of 91-Day Treasury Bills
- 4547. Appointment of Directors
- 4548. Offering of $1,700,000,000 of 91-Day Treasury Bills
- 4549. Prospective Cash Offering of Series ML Notes of Federal National Mortgage Association
- 4550. Cash Offering, 3 5/8 Percent Federal National Mortgage Association Notes of Series ML-1960-A
- 4551. Offering of $1,700,000,000 of 91-Day Treasury Bills
- 4552. Forty-third Annual Statement
- 4554. Basis of Allotment of FNMA Notes
- 4553. Offering of $1,700,000,000 of 91-Day Treasury Bills
- 4556. Margin Requirements Reduced
- 4555. Results of Bidding for 91-Day Treasury Bills Dated January 16, 1958
- 4557. Current FNMA Note Offering, Subscriptions and Allotments
- 4558. Offering of $1,700,000,000 of 91-Day Treasury Bills
- 4559. Federal Farm Loan Bonds, Redemption of February 14 Maturity, Offering of Two New Issues
- 4561. Treasury Financing
- 4560. Offering of $1,700,000,000 of 91-Day Treasury Bills
- 4562. 2 1/2% Treasury Certificates of Indebtedness of Series A-1959, 3% Treasury Bonds of 1964, 3 1/2% Treasury Bonds of 1990 Offered in Exchange for February, March and April Maturities
- 4563. Offering of $1,700,000,000 of 91-Day Treasury Bills
- 4564. Treasury's Current Exchange Offerings, Preliminary Figures on Exchanges of Maturing Securities
- 4567. Treasury's Current Exchange Offerings, Final Results
- 4565. Offering of $1,800,000,000 of 91-Day Treasury Bills
- 4566. Notice of Call for Redemption, 2 3/4 Percent Treasury Bonds of 1958-63
- 4568. Deposits of March Tax Collections in Treasury Tax and Loan Accounts
- 4570. Reserve Requirements, New Supplement to Regulation D
- 4569. Offering of $1,800,000,000 of 91-Day Treasury Bills
- 4571. Treasury Cash Financing
- 4572. Treasury Cash Financing
- 4574. Cash Offering, 3 Percent Treasury Bonds of 1966
- 4573. Offering of $1,800,000,000 of 91-Day Treasury Bills
- 4575. United States Savings Bonds, Amendments to Treasury Department Circulars Nos. 653 and 905, Revision of Treasury Department Circular No. 530
- 4576. Current Cash Offering, 3 Percent Treasury Bonds of 1966, Basis of Allotment and Amount of Subscriptions
- 4577. Offering of $1,700,000,000 of 91-Day Treasury Bills
- 4578. Current Cash Offering, Subscriptions and Allotments
- 4580. Reserve Requirements, New Supplement to Regulation D
- 4579. Offering of $1,700,000,000 of 91-Day Treasury Bills
- 4581. Change in Grouping of Treasury Tax and Loan Depositaries, Groups A and B Reclassified According to March 19, 1958 Closing Balances
- 4582. Offering of $1,700,000,000 of 91-Day Treasury Bills
- 4583. Operating Ratios of Member Banks in the Second Federal Reserve District for the Year 1957
- 4584. Offering of $1,700,000,000 of 91-Day Treasury Bills
- 4586. Treasury Cash Financing
- 4587. Cash Offering, 2 5/8 Percent Treasury Notes of Series A-1963
- 4585. Offering of $1,700,000,000 of 91-Day Treasury Bills
- 4590. Current Cash Offering, 2 5/8 Percent Treasury Notes of Series A-1963, Basis of Allotment and Amount of Subscriptions
- 4588. Negotiation of Government Checks Under Powers of Attorney Granted by Individuals
- 4589. Offering of $1,700,000,000 of 91-Day Treasury Bills
- 4591. Federal Farm Loan Bonds, Redemption of May 1 Maturities, Offering of Two New Issues
- 4592. Current Cash Offering, Subscriptions and Allotments
- 4594. Reserve Requirements, New Supplement to Regulation D
- 4593. Offering of $1,700,000,000 of 91-Day Treasury Bills
- 4595. Offering of $1,700,000,000 of 91-Day Treasury Bills
- 4596. Offering of $1,700,000,000 of 91-Day Treasury Bills
- 4597. Buffalo Branch's New Address
- 4598. Return of Unpaid Checks and Other Cash Items
- 4599. Offering of $1,700,000,000 of 91-Day Treasury Bills
- 4600. Call of Two Issues of Treasury Bonds
- 4601. Offering of $1,800,000,000 of 91-Day Treasury Bills
- 4602. Deposits of June Tax Collections in Treasury Tax and Loan Accounts
- 4603. Offering of $1,800,000,000 of 91-Day Treasury Bills
- 4604. Offering of $1,800,000,000 of 91-Day Treasury Bills
- 4605. Treasury Financing, Cash and Exchange Offerings
- 4607. Current Cash Offering, 3 1/4 Percent Treasury Bonds of 1985, Basis of Allotment and Amount of Subscriptions
- 4606. Offering of $1,700,000,000 of 91-Day Treasury Bills
- 4609. Treasury's Current Cash Offering, Subscriptions and Allotments
- 4608. Treasury's Current Exchange Offerings, Preliminary Figures on Exchanges of Maturing Securities
- 4610. Offering of $1,700,000,000 of 91-Day Treasury Bills
- 4612. Treasury's Current Exchange Offerings, Final Results
- 4611. 4 7/8 Percent FNMA Notes of Series ML-1958-B, Redemption at Maturity, June 26, 1958, No New Issue to be Offered
- 4613. Offering of $1,700,000,000 of 91-Day Treasury Bills
- 4615. Deposit of Federal Taxes with Depositary Banks, Revision of Treasury Department Circular No. 848
- 4614. Offering of $1,700,000,000 of 91-Day Treasury Bills
- 4616. Federal Farm Loan Bonds, Redemption of July 15 Maturity, Offering of New Issue
- 4617. Offering of $1,700,000,000 of 91-Day Treasury Bills
- 4618. Offering of $1,700,000,000 of 91-Day Treasury Bills
- 4620. Treasury Financing
- 4619. Offering of $1,700,000,000 of 91-Day Treasury Bills
- 4621. 1 5/8% Certificates of Indebtedness of Series C-1959 Offered in Exchange for 4% Certificates of Indebtedness of Series C-1958, 2 1/4% Bonds of 1956-59, 2 3/8% Bonds of 1957-59
- 4622. Offering of $1,700,000,000 of 91-Day Treasury Bills
- 4624. Cash Offering, 1 1/2 Percent Treasury Certificates of Indebtedness of Series D-1959, Tax Anticipation Series
- 4623. Treasury Financing, Statements on Current Exchange and New Cash Offering
- 4626. Current Cash Offering, 1 1/2 Percent Treasury Tax Anticipation Certificates, Basis of Allotment and Amount of Subscriptions
- 4625. Offering of $1,700,000,000 of 91-Day Treasury Bills
- 4627. Treasury's Current Exchange Offering, Final Results
- 4628. Margin Requirements Increased
- 4629. Current Cash Offering, Subscriptions and Allotments
- 4630. Offering of $1,700,000,000 of 91-Day Treasury Bills
- 4631. Offering of $1,800,000,000 of 91-Day Treasury Bills
- 4633. Deposits of September Tax Collections in Treasury Tax and Loan Accounts
- 4632. Maturing Series F and G Savings Bonds, Individual and Personal Trust Estate Holders May Reinvest Proceeds in Series E or H Bonds Without Limitation
- 4634. Offering of $1,800,000,000 of 92-Day Treasury Bills
- 4635. Purchase of Series E or H Savings Bonds with Proceeds of Maturing Series F and G Savings Bonds
- 4637. Results of Bidding for 92-Day Treasury Bills Dated August 28, 1958
- 4636. Offering of $1,800,000,000 of 91-Day Treasury Bills
- 4638. Offering of $1,800,000,000 of 91-Day Treasury Bills
- 4639. Offering of $1,800,000,000 of 91-Day Treasury Bills
- Operating Circular 13. Discount Rates
- 4640. Offering of $1,800,000,000 of 92-Day Treasury Bills
- 4642. Treasury Financing
- 4641. Offering of $1,800,000,000 of 92-Day Treasury Bills
- 4643. Cash Offerings, 219-Day Treasury Bills at a Fixed Price of 98.023, 3 1/2 Percent Treasury Notes of Series B-1959
- 4644. Statement on Electronic Check-Handling Equipment
- 4646. Treasury's Current Cash Offerings, Bases of Allotments and Amounts of Subscriptions
- 4645. Offering of $1,800,000,000 of 91-Day Treasury Bills
- 4649. Treasury's Current Cash Offerings, Subscriptions and Allotments
- 4648. Results of Bidding for 91-Day Treasury Bills Dated October 9, 1958
- 4647. Offering of $1,800,000,000 of 91-Day Treasury Bills
- 4650. Federal Farm Loan Bonds, Redemption of November 1 Maturity, Offering of Two New Issues
- 4652. Margin Requirements Increased
- 4651. Offering of $1,800,000,000 of 91-Day Treasury Bills
- 4653. Nomination and Election of Directors
- 4654. Offering of $1,800,000,000 of 91-Day Treasury Bills
- Operating Circular 11. Schedule of Time Limits, for Telegraphic Transfers of Funds to Other Federal Reserve Banks and Branches
- 4655. Revised Reserve Report Forms
- 4656. Offering of $1,800,000,000 of 91-Day Treasury Bills
- 4657. Matured and Maturing Series F and G Savings Bonds, Effective December 1, All Holders Except Commercial Banks May Reinvest Proceeds in Series E or H Bonds Without Limitation
- 4658. Offering of $1,800,000,000 of 92-Day Treasury Bills
- Operating Circular 13a. Discount Rates
- 4659. Offering of $3,000,000,000 of 214-Day Treasury Bills to be Designated "Tax Anticipation Series"
- 4660. Offering of $1,800,000,000 of 91-Day Treasury Bills
- 4662. Results of Bidding for 214-Day Treasury Bills, Dated November 20, 1958, Tax Anticipation Series
- 4661. Deposits of December Tax Collections in Treasury Tax and Loan Accounts
- 4663. Treasury Financing, Offering of Two New Issues in Exchange for December Maturities, New Program for Offerings of 26-Week Treasury Bills
- 4664. Amendment to Regulation K, Corporations Doing Foreign Banking or Other Foreign Financing Under the Federal Reserve Act
- Operating Circular 11a. Schedule of Time Limits, for Telegraphic Transfers of Funds to Other Federal Reserve Banks and Branches
- 4665. Offering of $1,800,000,000 of 90-Day Treasury Bills
- 4667. Treasury's Current Exchange Offerings, Preliminary Figures on Exchanges of Maturing Securities
- 4666. Nomination and Election of Directors
- 4668. Offering of $1,800,000,000 of 91-Day Treasury Bills
- 4669. Treasury's Current Exchange Offerings, Final Results
- 4670. Treasury Financing, Offerings of 91-Day and 182-Day Treasury Bills
- 4671. Offering of Two Series of Treasury Bills, $1,600,000,000 of 91-Day Bills, $400,000,000 of 182-Day Bills
- 4672. Member of Federal Advisory Council
- 4673. Results of Election of Directors
- 4674. Offering of Two Series of Treasury Bills, $1,600,000,000 of 91-Day Bills, $400,000,000 of 182-Day Bills
- 4675. Offering of Two Series of Treasury Bills, $1,600,000,000 of 90-Day Bills, $400,000,000 of 181-Day Bills
- 4677. Results of Bidding for 90-Day and 181-Day Treasury Bills Dated December 26, 1958
- 4676. Offering of Two Series of Treasury Bills, $1,600,000,000 of 90-Day Bills, $400,000,000 of 181-Day Bills
- 4679. Appointment of Directors
- 4678. Offering of Two Series of Treasury Bills, $1,600,000,000 of 91-Day Bills, $400,000,000 of 182-Day Bills
- Federal Reserve Bank of New York Circulars for the Year 1959 on Certain Operations and Activities Including Those as Fiscal Agent of the United States
- 4684. Treasury Financing
- 4683. Collection of Cash Items and Noncash Items Payable in Guam
- 4682. State of Alaska in Twelfth Federal Reserve District
- 4680. Offering of Two Series of Treasury Bills, $1,600,000,000 of 91-Day Bills, $400,000,000 of 182-Day Bills
- 4681. Newly Designed One-Cent Coin
- 4685. Cash Offerings, 3 1/4% Treasury Notes of Series B-1960 at a Price of 99 3/4, 4% Treasury Bonds of 1980 at a Price of 99
- 4687. Treasury's Current Cash Offering of Notes, Basis of Allotment and Amount of Subscriptions
- 4686. Offering of Two Series of Treasury Bills, $1,400,000,000 of 91-Day Bills, $400,000,000 of 182-Day Bills
- 4690. Federal Farm Loan Bonds, Redemption of February 2 Maturity, Offering of Two New Issues
- 4689. Treasury's Current Cash Offering of Bonds, Basis of Allotment and Amount of Subscriptions
- 4688. Forty-fourth Annual Statement
- 4691. Treasury's Current Cash Offering of Notes, Subscriptions and Allotments
- 4693. Treasury's Current Cash Offering of Bonds, Subscriptions and Allotments
- 4692. Offering of Two Series of Treasury Bills, $1,400,000,000 of 91-Day Bills, $400,000,000 of 182-Day Bills
- 4694. Appointment of Directors
- 4696. Treasury Financing
- 4695. Offering of Two Series of Treasury Bills, $1,400,000,000 of 91-Day Bills, $400,000,000 of 182-Day Bills
- 4697. Offering of 3 3/4% Certificates of Indebtedness of Series A-1960 or 4% Notes of Series D-1962 in Exchange for 2 1/2% Certificates of Indebtedness of Series A-1959 or 1 7/8% Notes of Series A-1959
- 4699. Amendment of Regulations G, H, I, J, P and U
- 4698. Offering of Two Series of Treasury Bills, $1,400,000,000 of 90-Day Bills, $400,000,000 of 181-Day Bills
- 4700. Treasury Financing, Preliminary Figures on Current Exchange Offering, Cash Offering of $1.5 Billion Tax Anticipation Bills
- 4701. Offering of $1,500,000,000 of 217-Day Treasury Bills to be Designated "Tax Anticipation Series"
- 4702. Offering of Two Series of Treasury Bills, $1,400,000,000 of 91-Day Bills, $400,000,000 of 182-Day Bills
- 4704. Treasury's Current Exchange Offerings, Final Results
- 4703. Results of Bidding for 217-Day Treasury Bills, Dated February 16, 1959, Tax Anticipation Series
- 4707. Results of Bidding for 91-Day and 182-Day Treasury Bills Dated February 19, 1959
- 4706. Offering of Two Series of Treasury Bills, $1,400,000,000 of 91-Day Bills, $400,000,000 of 182-Day Bills
- 4705. Deposits of March Corporation Tax Collections in Treasury Tax and Loan Accounts
- 4708. Return of Unpaid Checks Presented Through Buffalo Clearing House Association
- 4709. Time Limit on Payment of Government Checks, Amendment to Treasury Department Circular No. 21
- 4710. Offering of Two Series of Treasury Bills, $1,500,000,000 of 91-Day Bills, $400,000,000 of 182-Day Bills
- 4711. Offering of Two Series of Treasury Bills, $1,300,000,000 of 91-Day Bills, Additional Amount, $400,000,000 of 182-Day Bills
- 4712. Safekeeping, Handling and Shipment of Securities, Revision of Operating Circular No. 14
- 4713. Offering of Two Series of Treasury Bills, $1,300,000,000 of 91-Day Bills, Additional Amount, $400,000,000 of 182-Day Bills
- 4715. Treasury Financing
- 4714. Offering of Two Series of Treasury Bills, $1,300,000,000 of 91-Day Bills, Additional Amount, $400,000,000 of 182-Day Bills
- 4717. Offering of $2,000,000,000 of Special 289-Day Treasury Bills
- 4716. Cash Offerings, 4 Percent Treasury Notes of Series B-1963 and 4 Percent Treasury Bonds of 1969, Additional Issue
- 4718. Offering of Two Series of Treasury Bills, $1,200,000,000 of 91-Day Bills, Additional Amount, $400,000,000 of 182-Day Bills
- 4719. Treasury's Current Cash Offerings of Bonds and Notes, Bases of Allotments and Amounts of Subscriptions
- 4721. Results of Bidding for 289-Day Treasury Bills, Dated April 1, 1959
- 4720. Operating Ratios of Member Banks in the Second Federal Reserve District for the Year 1958
- 4722. Treasury's Current Cash Offerings of Bonds and Notes, Subscriptions and Allotments
- 4723. Offering of Two Series of Treasury Bills, $1,200,000,000 of 91-Day Bills, Additional Amount, $400,000,000 of 182-Day Bills
- 4724. Offering of Two Series of Treasury Bills, $1,200,000,000 of 91-Day Bills, Additional Amount, $400,000,000 of 182-Day Bills
- 4725. Federal Farm Loan Bonds, Redemption of May 1 Maturity, Offering of New Issue
- 4726. Offering of Two Series of Treasury Bills, $1,000,000,000 of 91-Day Bills, Additional Amount, $400,000,000 of 182-Day Bills
- 4728. Change in Grouping of Treasury Tax and Loan Depositaries, Groups A and B Reclassified According to April 23, 1959 Closing Balances
- 4727. Offering of Two Series of Treasury Bills, $1,000,000,000 of 91-Day Bills, Additional Amount, $400,000,000 of 182-Day Bills
- 4730. Treasury Financing
- 4729. Offering of Two Series of Treasury Bills, $1,000,000,000 of 91-Day Bills, Additional Amount, $400,000,000 of 182-Day Bills
- 4732. Offering of $1,500,000,000 of 221-Day Treasury Bills to be Designated "Tax Anticipation Series"
- 4731. Offering of $2,000,000,000 of Special 340-Day Treasury Bills
- 4733. 4 Percent Treasury Notes of Series A-1961, Preliminary Figures on August 1, 1959 Redemptions
- 4735. Results of Bidding for Special 340-Day Treasury Bills, Dated May 11, 1959
- 4737. Treasury Financing, New 4% Certificates, at 99.95, Offered in Exchange for 1 1/4% Certificates Maturing May 15, 1959
- 4736. Results of Bidding for 221-Day Treasury Bills, Dated May 15, 1959, Tax Anticipation Series
- 4734. Offering of Two Series of Treasury Bills, $1,000,000,000 of 91-Day Bills, Additional Amount, $400,000,000 of 182-Day Bills
- 4738. 4% Treasury Certificates of Indebtedness of Series B-1960 Offered at 99.95 in Exchange for 1 1/4% Treasury Certificates of Indebtedness of Series B-1959
- 4740. Amendments to Regulations T and U, Effective June 15, 1959
- 4741. Treasury's Current Exchange Offering, Preliminary Figures on Exchange of May 15 Certificates
- 4739. Offering of Two Series of Treasury Bills, $1,000,000,000 of 91-Day Bills, Additional Amount, $400,000,000 of 182-Day Bills
- 4742. Treasury's Current Exchange Offering, Final Results
- 4743. Deposits of June Tax Collections in Treasury Tax and Loan Accounts
- 4744. Offering of Two Series of Treasury Bills, $1,000,000,000 of 91-Day Bills, Additional Amount, $400,000,000 of 183-Day Bills
- 4745. Offering of Two Series of Treasury Bills, $1,100,000,000 of 91-Day Bills, Additional Amount, $400,000,000 of 182-Day Bills
- 4746. Regulations T and U, Revised Regulations and Supplements, Effective June 15, 1959, Interpretations by Board of Governors
- 4747. Offering of Two Series of Treasury Bills, $1,200,000,000 of 91-Day Bills, Additional Amount, $500,000,000 of 182-Day Bills
- 4748. Offering of Two Series of Treasury Bills, $1,200,000,000 of 91-Day Bills, Additional Amount, $500,000,000 of 182-Day Bills
- 4749. Offering of Two Series of Treasury Bills, $1,200,000,000 of 91-Day Bills, Additional Amount, $500,000,000 of 182-Day Bills
- 4751. Treasury Financing
- 4750. Offering of Two Series of Treasury Bills, $1,100,000,000 of 91-Day Bills, Additional Amount, $500,000,000 of 182-Day Bills
- 4753. Collection of Cash Items, Discontinuance of Federal Reserve Exchange Drafts, Revision of Time Schedules
- 4752. Offering of $3,000,000,000 of 258-Day Treasury Bills to be Designated "Tax Anticipation Series"
- 4755. Results of Bidding for 258-Day Treasury Bills, Dated July 8, 1959, Tax Anticipation Series
- 4754. Offering of Two Series of Treasury Bills, $1,200,000,000 of 91-Day Bills, Additional Amount, $400,000,000 of 182-Day Bills
- 4756. Offering of $2,000,000,000 of Special 366-Day Treasury Bills
- 4757. Offering of Two Series of Treasury Bills, $1,200,000,000 of 91-Day Bills, Additional Amount, $400,000,000 of 182-Day Bills
- 4758. Results of Bidding for Special 366-Day Treasury Bills, Dated July 15, 1959
- 4760. Treasury Financing
- 4759. Offering of Two Series of Treasury Bills, $1,000,000,000 of 91-Day Bills, Additional Amount, $400,000,000 of 182-Day Bills
- 4761. Offering of 4 3/4% Notes of Series C-1960 or 4 3/4% Notes of Series A-1964 in Exchange for 1 5/8% Certificates of Indebtedness of Series C-1959 or 4% Notes of Series A-1961 Stamped for Payment August 1, 1959
- 4762. Offering of Two Series of Treasury Bills, $1,000,000,000 of 91-Day Bills, Additional Amount, $400,000,000 of 182-Day Bills
- 4763. Preliminary Figures on Treasury's Current Exchange Offering
- 4764. Offering of Two Series of Treasury Bills, $1,000,000,000 of 91-Day Bills, Additional Amount, $400,000,000 of 182-Day Bills
- 4765. Treasury's Current Exchange Offerings, Final Results
- 4766. Reports of Large and Unusual Currency Transactions, Revised Report Form and Instructions
- 4767. New Law on Member Bank Reserve Requirements
- 4768. Treasury Financing
- 4769. Offering of Two Series of Treasury Bills, $1,200,000,000 of 91-Day Bills, Additional Amount, $400,000,000 of 182-Day Bills
- 4770. Offering of $1,000,000,000 of 216-Day Tax Anticipation Treasury Bills, Additional Amount
- 4771. Offering of Two Series of Treasury Bills, $1,200,000,000 of 91-Day Bills, Additional Amount, $400,000,000 of 182-Day Bills
- 4772. Results of Bidding for 216-Day Tax Anticipation Treasury Bills
- 4773. Deposits of September Tax Collections in Treasury Tax and Loan Accounts
- 4774. Offering of Two Series of Treasury Bills, $1,200,000,000 of 92-Day Bills, Additional Amount, $400,000,000 of 182-Day Bills
- 4775. State of Hawaii in Twelfth Federal Reserve District
- 4776. Offering of Two Series of Treasury Bills, $1,100,000,000 of 91-Day Bills, Additional Amount, $400,000,000 of 182-Day Bills
- 4777. Offering of Two Series of Treasury Bills, $1,200,000,000 of 91-Day Bills, Additional Amount, $400,000,000 of 182-Day Bills
- 4778. Results of Bidding for 91-Day and 182-Day Treasury Bills to be Issued September 3, 1959
- 4779. Offering of Two Series of Treasury Bills, $1,200,000,000 of 91-Day Bills, Additional Amount, $400,000,000 of 182-Day Bills
- 4780. Offering of Two Series of Treasury Bills, $1,200,000,000 of 91-Day Bills, Additional Amount, $400,000,000 of 182-Day Bills
- 4781. Amendment of Regulations E, G, H, I, J, L, Q and U
- 4782. Higher Yields on All New and Outstanding Series E and H Savings Bonds, Effective June 1, 1959
- 4783. Offering of Two Series of Treasury Bills, $1,100,000,000 of 91-Day Bills, Additional Amount, $400,000,000 of 182-Day Bills
- 4785. Treasury Financing
- 4784. Offering of Two Series of Treasury Bills, $1,200,000,000 of 91-Day Bills, Additional Amount, $400,000,000 of 182-Day Bills
- 4786. Cash Offering, 5 Percent Treasury Notes of Series B-1964
- 4790. Federal Farm Loan Bonds, Redemption of October 20 Maturity, Offering of New Bonds
- 4788. Results of Bidding for 91-Day and 182-Day Treasury Bills to be Issued October 8, 1959
- 4787. Offering of Two Series of Treasury Bills, $1,200,000,000 of 91-Day Bills, Additional Amount, $400,000,000 of 182-Day Bills
- 4789. Offering of $2,000,000,000 of 245-Day Tax Anticipation Treasury Bills
- 4791. United States Savings Bonds, Revision of Treasury Department Circulars Nos. 653 and 905
- 4792. Treasury's Current Cash Offering of Notes, Bases of Allotments and Amounts of Subscriptions
- 4795. Treasury's Current Cash Offering of 5% Notes, Subscriptions and Allotments
- 4794. Results of Bidding for 245-Day Tax Anticipation Treasury Bills
- 4793. Offering of Two Series of Treasury Bills, $1,000,000,000 of 91-Day Bills, Additional Amount, $400,000,000 of 182-Day Bills
- 4796. Nomination and Election of Directors
- 4797. Offering of Two Series of Treasury Bills, $1,000,000,000 of 91-Day Bills, Additional Amount, $400,000,000 of 182-Day Bills
- 4798. Offering of Two Series of Treasury Bills, $1,000,000,000 of 91-Day Bills, Additional Amount, $400,000,000 of 182-Day Bills
- 4799. Treasury Financing
- 4800. 4 3/4% Certificates of Indebtedness of Series C-1960 Offered in Exchange for 3 3/8% Certificates of Indebtedness of Series E-1959 or 3 1/2% Notes of Series B-1959; 4 7/8% Notes of Series C-1963 Offered in Exchange for 3 3/8% Certificates of Indebtedness of Series E-1959, or 3 1 /2 % Treasury Notes of Series B-1959, or 4 % Treasury Notes of Series B-1962
- 4801. Offering of Two Series of Treasury Bills, $1,200,000,000 of 91-Day Bills, Additional Amount, $400,000,000 of 182-Day Bills
- 4802. Preliminary Figures on Treasury's Current Exchange Offerings
- 4804. United States Savings Bonds, Series E, Instructions to Issuing Agents, Revision of Operating Circular No. 20
- 4803. Offering of Two Series of Treasury Bills, $1,200,000,000 of 91-Day Bills, Additional Amount, $400,000,000 of 182-Day Bills
- 4806. Treasury's Current Exchange Offerings, Final Results
- 4805. Deposits of December Tax Collections in Treasury Tax and Loan Accounts
- 4807. Appointment of Buffalo Branch Director
- 4810. Offering of $2,000,000,000 of Special 320-Day Treasury Bills
- 4809. Treasury Financing
- 4808. Offering of Two Series of Treasury Bills, $1,200,000,000 of 90-Day Bills, Additional Amount, $400,000,000 of 181-Day Bills
- 4812. 4 Percent Treasury Notes of Series B-1962, Preliminary Figures on February 15, 1960 Redemptions
- 4811. 4 3/4 Percent Treasury Notes of Series A-1964, Additional Issue, Offered at 99.75 in Exchange for Series F or G Savings Bonds Maturing in 1960
- 4816. Current Exchange Offering, Extension of Time to Complete Subscriptions for 4 3/4 Percent Treasury Notes
- 4814. Results of Bidding for Special 320-Day Treasury Bills
- 4813. Offering of Two Series of Treasury Bills, $1,100,000,000 of 91-Day Bills, Additional Amount, $400,000,000 of 182-Day Bills
- 4815. Nomination and Election of Directors
- 4817. Member Banks Permitted to Count Part of Vault Cash for Reserve Purposes
- 4818. Amended Regulation R
- 4820. Amendments to Regulation D
- 4819. Offering of Two Series of Treasury Bills, $1,200,000,000 of 91-Day Bills, Additional Amount, $500,000,000 of 182-Day Bills
- 4821. Member of Federal Advisory Council
- 4823. H. D. Crosse to Succeed R. B. Wiltse, January 1, 1960
- 4825. Federal Farm Loan Bonds, Redemption of January 5, 1960 Maturity, Offering of New Bonds
- 4824. Preliminary Figures on Current Exchange of Series F and G Bonds for 4 3/4 Percent Treasury Notes of Series A-1964
- 4822. Offering of Two Series of Treasury Bills, $1,200,000,000 of 91-Day Bills, Additional Amount, $500,000,000 of 182-Day Bills
- 4826. Results of Election of Directors
- 4827. Offering of Two Series of Treasury Bills, $1,200,000,000 of 91-Day Bills, Additional Amount, $500,000,000 of 182-Day Bills
- 4828. Results of Current Exchange of Series F and G Bonds for 4 3/4 Percent Treasury Notes of Series A-1964
- 4831. Nontaxable Exchanges of Series E, F or J Savings Bonds for Series H Savings Bonds, Effective January 1, 1960
- 4830. Results of Bidding for 91-Day and 182-Day Treasury Bills to be Issued December 24, 1959
- 4829. Offering of Two Series of Treasury Bills, $1,100,000,000 of 91-Day Bills, Additional Amount, $500,000,000 of 182-Day Bills
- 4832. Appointment of Directors
- 4836. Revision of Regulation D, Reserves of Member Banks
- 4835. Offering of $2,000,000,000 of 166-Day Tax Anticipation Treasury Bills, Additional Amount
- 4834. Treasury Financing
- 4833. Offering of Two Series of Treasury Bills, $1,200,000,000 of 91-Day Bills, Additional Amount, $400,000,000 of 182-Day Bills
- 1960s
- 1970s
- 1980s
- 1990s
In order to aid in the retrieval of information from this publication, significant tables, charts, and/or articles have been extracted and can be viewed individually or across a span of issues.
Circulars for 1996-present are available from the website of the New York Fed: http://www.newyorkfed.org/banking/circulars/.
1914-1997
- oclc: 12386162
Federal Reserve Bank of New York. Federal Reserve Bank of New York Circulars. 1914-1997. https://fraser.stlouisfed.org/title/466, accessed on November 21, 2024.