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
- 1960s
- Federal Reserve Bank of New York Circulars for the Year 1960 on Certain Operations and Activities Including Those as Fiscal Agent of the United States
- 4840. Reporting Securities Credit Extended by Lenders Other Than Banks or Brokers
- 4838. Results of Bidding for 166-Day Tax Anticipation Treasury Bills
- 4837. Offering of $1,500,000,000 of Special 366-Day Treasury Bills
- 4839. Offering of Two Series of Treasury Bills, $1,200,000,000 of 91-Day Bills, Additional Amount, $400,000,000 of 182-Day Bills
- 4842. Forty-fifth Annual Statement
- 4841. Federal Farm Loan Bonds, Redemption of February 1 Maturities, Offering of New Bonds
- 4843. Results of Bidding for 366-Day Treasury Bills
- 4844. Offering of Two Series of Treasury Bills, $1,000,000,000 of 91-Day Bills, Additional Amount, $400,000,000 of 182-Day Bills
- 4845. Offering of Series H Savings Bonds in Exchange for Series E, F or J Savings Bonds
- 4846. Offering of Two Series of Treasury Bills, $1,000,000,000 of 91-Day Bills, Additional Amount, $400,000,000 of 182-Day Bills
- 4848. Treasury Financing
- 4847. Offering of Two Series of Treasury Bills, $1,000,000,000 of 91-Day Bills, Additional Amount, $400,000,000 of 182-Day Bills
- 4849. 4 7/8% Certificates of Indebtedness of Series A-1961, at Par or 4 7/8% Notes of Series C-1964, at 99.75 Offered in Exchange for 3 3/4% Certificates of Indebtedness of Series A-1960 or 1 1/2% Notes of Series EA-1960
- 4850. Offering of Two Series of Treasury Bills, $1,200,000,000 of 91-Day Bills, Additional Amount, $400,000,000 of 182-Day Bills
- 4851. Preliminary Figures on Treasury's Current Exchange Offering
- 4853. Reserves of Member Banks, Revision of Operating Circular No. 2
- 4852. Offering of Two Series of Treasury Bills, $1,200,000,000 of 91-Day Bills, Additional Amount, $400,000,000 of 182-Day Bills
- 4855. Treasury's Current Exchange Offering, Final Results
- 4856. Results of Bidding for 91-Day and 182-Day Treasury Bills to be Issued February 18, 1960
- 4854. Offering of Two Series of Treasury Bills, $1,200,000,000 of 91-Day Bills, Additional Amount, $400,000,000 of 182-Day Bills
- 4857. Deposits of March Tax Collections in Treasury Tax and Loan Accounts
- 4858. Offering of Two Series of Treasury Bills, $1,100,000,000 of 91-Day Bills, Additional Amount, $400,000,000 of 182-Day Bills
- 4859. Offering of Two Series of Treasury Bills, $1,200,000,000 of 91-Day Bills, Additional Amount, $400,000,000 of 182-Day Bills
- 4860. Amendment to Regulation U, Loans by Banks for the Purpose of Purchasing or Carrying Registered Stocks
- 4862. Payment of March Taxes, Undesirable Practices Involving Tax Anticipation Bills
- 4861. Offering of Two Series of Treasury Bills, $1,200,000,000 of 91-Day Bills, Additional Amount, $400,000,000 of 182-Day Bills
- 4863. Nomination and Election of Class B Director, Term Ending December 31, 1961
- 4864. Offering of Two Series of Treasury Bills, $1,200,000,000 of 91-Day Bills, Additional Amount, $400,000,000 of 182-Day Bills
- 4865. Offering of Two Series of Treasury Bills, $1,100,000,000 of 91-Day Bills, Additional Amount, $400,000,000 of 182-Day Bills
- 4867. Treasury Financing
- 4866. Offering of Two Series of Treasury Bills, $1,100,000,000 of 91-Day Bills, Additional Amount, $500,000,000 of 182-Day Bills
- 4869. Federal Farm Loan Bonds, Redemption of April 20 Maturity, Offering of New Bonds
- 4868. Cash Offerings, 4 Percent Treasury Notes of Series E-1962, 4 1/4 Percent Treasury Bonds of 1975-85
- 4872. Treasury's Current Cash Offerings, Bases of Allotments and Amounts of Subscriptions
- 4871. Offering of $2,000,000,000 of Special 365-Day Treasury Bills
- 4870. Offering of Two Series of Treasury Bills, $1,100,000,000 of 91-Day Bills, Additional Amount, $500,000,000 of 182-Day Bills
- 4873. Reports of Transactions in Foreign Exchange, Transfers of Credit and Export of Coin and Currency, Revision of Operating Circular No. 19
- 4874. Results of Current Treasury Financing, Offering of 365-Day Bills, Offerings of Bonds and Notes
- 4875. Offering of Two Series of Treasury Bills, $1,000,000,000 of 91-Day Bills, Additional Amount, $400,000,000 of 182-Day Bills
- 4876. Nomination and Election of Class B Director, Term Ending December 31, 1961
- 4878. Treasury Tax and Loan Depositaries, Groups A and B Reclassified According to April 21, 1960 Closing Balances
- 4877. Offering of Two Series of Treasury Bills, $1,000,000,000 of 91-Day Bills, Additional Amount, $400,000,000 of 182-Day Bills
- 4879. Treasury Financing
- 4881. Treasury Financing
- 4880. Offering of Two Series of Treasury Bills, $1,000,000,000 of 91-Day Bills, Additional Amount, $400,000,000 of 182-Day Bills
- 4882. 4 3/8% Certificates of Indebtedness of Series B-1961 or 4 5/8% Notes of Series A-1965 Offered at Par in Exchange for 4% Certificates of Indebtedness of Series B-1960 or 3 1/2% Notes of Series A-1960 or 3 1/4% Notes of Series B-1960
- 4885. Reserves of Member Banks, Revision of Operating Circular No. 2
- 4883. Result of Election of Class B Director, Term Ending December 31, 1961
- 4884. Offering of Two Series of Treasury Bills, $1,200,000,000 of 91-Day Bills, Additional Amount, $400,000,000 of 182-Day Bills
- 4887. Preliminary Figures on Treasury's Current Exchange Offering
- 4886. Federal Farm Loan Bonds, Redemption of June 1 Maturity, Offering of New Bonds
- 4888. Offering of Two Series of Treasury Bills, $1,200,000,000 of 91-Day Bills, Additional Amount, $500,000,000 of 182-Day Bills
- 4889. Treasury's Current Exchange Offerings, Final Results
- 4890. Deposits of June Tax Collections in Treasury Tax and Loan Accounts
- 4891. Offering of Two Series of Treasury Bills, $1,200,000,000 of 91-Day Bills, Additional Amount, $500,000,000 of 183-Day Bills
- 4893. Results of Bidding for 91-Day and 183-Day Treasury Bills to be Issued May 26, 1960
- 4892. Offering of Two Series of Treasury Bills, $1,100,000,000 of 91-Day Bills, Additional Amount, $500,000,000 of 182-Day Bills
- 4894. New Law on Bank Mergers, Consolidations, Acquisitions of Assets and Assumptions of Deposit Liabilities
- 4895. Offering of Two Series of Treasury Bills, $1,200,000,000 of 91-Day Bills, Additional Amount, $500,000,000 of 182-Day Bills
- 4896. Treasury Financing, Advance Refunding of 2 1/2 Percent Treasury Bonds of 1961
- 4898. Offering of Two Series of Treasury Bills, $1,200,000,000 of 91-Day Bills, Additional Amount, $500,000,000 of 182-Day Bills
- 4897. 3 3/4% Treasury Notes of Series D-1964 or 3 7/8% Treasury Bonds of 1968 Offered at Par in Exchange for 2 1/2% Treasury Bonds of 1961
- 4900. Treasury's Current Advance Refunding, Amounts of Subscriptions and Bases of Allotments
- 4899. Offering of Two Series of Treasury Bills, $1,200,000,000 of 91-Day Bills, Additional Amount, $500,000,000 of 182-Day Bills
- 4902. Treasury's Current Advance Refunding, Final Results
- 4901. Offering of Two Series of Treasury Bills, $1,100,000,000 of 91-Day Bills, Additional Amount, $500,000,000 of 182-Day Bills
- 4903. Offering of Two Series of Treasury Bills, $1,000,000,000 of 91-Day Bills, Additional Amount, $500,000,000 of 182-Day Bills
- 4904. Results of Bidding for 91-Day and 182-Day Treasury Bills to be Issued June 30, 1960
- 4905. Change in Classification of Member Banks for Purpose of Electing Directors
- 4907. Offering of $3,500,000,000 of 252-Day Tax Anticipation Treasury Bills
- 4906. Treasury Financing, $3.5 Billion of 252-Day Tax Anticipation Bills, $1.5 Billion of 1-Year Bills
- 4908. Offering of $1,500,000,000 of Special 365-Day Treasury Bills
- 4909. Offering of Two Series of Treasury Bills, $1,000,000,000 of 91-Day Bills, Additional Amount, $500,000,000 of 182-Day Bills
- 4910. Results of Bidding for 252-Day Treasury Bills, Dated July 13, 1960, Tax Anticipation Series
- 4911. Amendment to Regulation Y and Reprinting of Regulations E and Q
- 4912. Offering of Two Series of Treasury Bills, $1,000,000,000 of 91-Day Bills, Additional Amount, $400,000,000 of 182-Day Bills
- 4913. Results of Bidding for Special 365-Day Treasury Bills, Dated July 15, 1960
- 4914. Offering of Two Series of Treasury Bills, $1,000,000,000 of 91-Day Bills, Additional Amount, $400,000,000 of 182-Day Bills
- 4915. Treasury Financing, Refunding of 4 3/4 Percent Treasury Notes and 3 5/8 Percent FNMA Notes
- 4917. Margin Requirements Reduced
- 4916. Offering of Two Series of Treasury Bills, $1,000,000,000 of 91-Day Bills, Additional Amount, $400,000,000 of 182-Day Bills
- 4918. Treasury Financing, Announcement of Terms of Two New Issues
- 4919. Treasury Offerings, 3 1/8% Treasury Certificates of Indebtedness of Series C-1961, 3 7/8% Treasury Bonds of 1968, Additional Issue
- 4920. Offering of Two Series of Treasury Bills, $1,100,000,000 of 91-Day Bills, Additional Amount, $500,000,000 of 182-Day Bills
- 4921. Treasury's Current Offerings of Certificates and Bonds, Amounts of Subscriptions and Bases of Allotments
- 4922. Absorption of Exchange Charges as Payment of Interest on Deposits
- 4923. Reserve Requirements, Amendments to Regulation D
- 4924. Offering of Two Series of Treasury Bills, $1,100,000,000 of 91-Day Bills, Additional Amount, $500,000,000 of 182-Day Bills
- 4925. Deposits of September Tax Collections in Treasury Tax and Loan Accounts
- 4926. Treasury's Current Offerings of Certificates and Bonds, Final Results
- 4927. Offering of Two Series of Treasury Bills, $1,100,000,000 of 92-Day Bills, Additional Amount, $500,000,000 of 182-Day Bills
- 4929. Collection of Noncash Items, Revision of Operating Circular No. 8
- 4928. Collection of Cash Items, Amendment to Regulation J, Revision of Operating Circular No. 4
- 4930. Offering of Two Series of Treasury Bills, $1,000,000,000 of 91-Day Bills, Additional Amount, $500,000,000 of 182-Day Bills
- 4931. Offering of Two Series of Treasury Bills, $1,100,000,000 of 91-Day Bills, Additional Amount, $500,000,000 of 182-Day Bills
- 4932. Results of Bidding for 91-Day and 182-Day Treasury Bills to be Issued September 1, 1960
- 4933. Offering of Two Series of Treasury Bills, $1,100,000,000 of 91-Day Bills, Additional Amount, $500,000,000 of 182-Day Bills
- 4934. Treasury Offerings, Advance Refunding of 2 1/2 Percent Treasury Bonds of 1962-67, 1963-68 and 1964-69
- 4935. Offering of Two Series of Treasury Bills, $1,100,000,000 of 91-Day Bills, Additional Amount, $500,000,000 of 182-Day Bills
- 4936. Offering of Two Series of Treasury Bills, $1,000,000,000 of 91-Day Bills, Additional Amount, $500,000,000 of 182-Day Bills
- 4937. Treasury's Current Advance Refunding, Preliminary Figures and Bases of Allotment
- 4938. Offering of Two Series of Treasury Bills, $1,000,000,000 of 91-Day Bills, Additional Amount, $500,000,000 of 182-Day Bills
- 4940. Results of Treasury's Current Advance Refunding
- 4939. Federal Farm Loan Bonds, Redemption of October 20 Maturity, Offering of New Bonds
- 4941. Offering of Two Series of Treasury Bills, $1,000,000,000 of 91-Day Bills, Additional Amount, $500,000,000 of 182-Day Bills
- 4942. Treasury Financing, $1.5 Billion of 1-Year Bills, $3.5 Billion of 244-Day Tax Anticipation Bills
- 4943. Offering of $1,500,000,000 of Special 364-Day Treasury Bills
- 4944. Nomination and Election of Directors
- 4946. Offering of $3,500,000,000 of 244-Day Tax Anticipation Treasury Bills
- 4945. Offering of Two Series of Treasury Bills, $1,000,000,000 of 91-Day Bills, Additional Amount, $400,000,000 of 182-Day Bills
- 4948. Treasury Financing
- 4947. Results of Bidding for Special 364-Day Treasury Bills, Dated October 17, 1960
- 4950. Results of Bidding for 244-Day Treasury Bills, Dated October 21, 1960, Tax Anticipation Series
- 4949. Offering of Two Series of Treasury Bills, $1,000,000,000 of 91-Day Bills, Additional Amount, $400,000,000 of 182-Day Bills
- 4952. Reserve Requirements, Amendments to Regulation D
- 4951. Offering of Two Series of Treasury Bills, $1,000,000,000 of 91-Day Bills, Additional Amount, $400,000,000 of 182-Day Bills
- 4953. Treasury Financing
- 4955. Collection of Cash Items, Revision of Operating Circular No. 5
- 4954. 3 1/4% Treasury Notes of Series F-1962 or 3 3/4% Treasury Bonds of 1966 Offered at Par in Exchange for 4 3/4% Treasury Certificates of Indebtedness of Series C-1960 or 2 1/8% Treasury Bonds of 1960
- 4956. Offering of Two Series of Treasury Bills, $1,100,000,000 of 91-Day Bills, Additional Amount, $400,000,000 of 182-Day Bills
- 4957. Preliminary Figures on Treasury's Current Exchange Offering
- 4958. Offering of Two Series of Treasury Bills, $1,100,000,000 of 91-Day Bills, Additional Amount, $500,000,000 of 182-Day Bills
- 4959. Results of Bidding for 91-Day and 182-Day Treasury Bills to be Issued November 10, 1960
- 4961. Treasury's Current Exchange Offerings, Final Results
- 4960. Payment of Interest on Deposits, Absorption of Exchange Charges
- 4962. Reprints of Regulations K and L
- 4965. Deposits of December Tax Collections in Treasury Tax and Loan Accounts
- 4964. Offering of Two Series of Treasury Bills, $1,100,000,000 of 90-Day Bills, Additional Amount, $500,000,000 of 181-Day Bills
- 4963. Nomination and Election of Directors
- 4966. 4 Percent Treasury Bonds of 1969, Additional Issue, Offered at 100 1/2 in Exchange for Series F or G Savings Bonds Issued in 1949, Maturing in 1961
- 4967. Offering of Two Series of Treasury Bills, $1,000,000,000 of 91-Day Bills, Additional Amount, $500,000,000 of 182-Day Bills
- 4968. Offering of Two Series of Treasury Bills, $1,100,000,000 of 91-Day Bills, Additional Amount, $500,000,000 of 182-Day Bills
- 4969. Results of Election of Directors
- 4970. Federal Farm Loan Bonds, Redemption of December 20 Maturity, Offering of New Bonds
- 4971. Preliminary Figures on Current Exchange Offering, 4 Percent Treasury Bonds of 1969, Additional Issue, for Series F and G Savings Bonds Maturing in 1961
- 4972. Offering of Two Series of Treasury Bills, $1,100,000,000 of 91-Day Bills, Additional Amount, $500,000,000 of 182-Day Bills
- 4973. Member of Federal Advisory Council
- 4975. Results of Treasury's Current Exchange Offering
- 4974. Offering of Two Series of Treasury Bills, $1,100,000,000 of 91-Day Bills, Additional Amount, $500,000,000 of 183-Day Bills
- 4977. Offering of Two Series of Treasury Bills, $1,000,000,000 of 91-Day Bills, Additional Amount, $500,000,000 of 182-Day Bills
- 4976. New Maximum Amounts of Tax and Loan Deposits for Which Special Depositaries of Public Moneys May Qualify
- 4978. Results of Bidding for 91-Day and 183-Day Treasury Bills to be Issued December 22, 1960
- 4979. Offering of Two Series of Treasury Bills, $1,000,000,000 of 91-Day Bills, Additional Amount, $500,000,000 of 182-Day Bills
- 4980. Results of Bidding for 91-Day and 182-Day Treasury Bills to be Issued December 29, 1960
- 4981. Appointment of Directors
- Federal Reserve Bank of New York Circulars for the Year 1961 on Certain Operations and Activities Including Those as Fiscal Agent of the United States
- 4982. Offering of Two Series of Treasury Bills, $1,000,000,000 of 91-Day Bills, Additional Amount, $500,000,000 of 182-Day Bills
- 4983. Offering of $1,500,000,000 of Special 365-Day Treasury Bills
- 4984. Forty-sixth Annual Statement
- 4985. Offering of Two Series of Treasury Bills, $1,100,000,000 of 91-Day Bills, Additional Amount, $400,000,000 of 182-Day Bills
- 4987. Limitations on Coin Distributions
- 4986. Results of Bidding for Special 365-Day Treasury Bills, Dated January 15, 1961
- 4988. Offering of Two Series of Treasury Bills, $1,100,000,000 of 91-Day Bills, Additional Amount, $500,000,000 of 182-Day Bills
- 4989. Gold Regulations, Prohibition on Holding Gold Abroad by U. S. Nationals
- 4990. Reprints of Regulations G, H, J, P and Y
- 4991. Offering of Two Series of Treasury Bills, $1,100,000,000 of 91-Day Bills, Additional Amount, $500,000,000 of 182-Day Bills
- 4992. Treasury Financing, Refunding of 4 7/8 Percent Certificates Maturing February 15, 1961
- 4993. Offering of Two Series of Treasury Bills, $1,100,000,000 of 91-Day Bills, Additional Amount, $500,000,000 of 182-Day Bills
- 4994. Treasury Financing, Announcement of Terms of New Issue
- 4997. Appointment of Buffalo Branch Director
- 4996. Offering of Two Series of Treasury Bills, $1,100,000,000 of 91-Day Bills, Additional Amount, $500,000,000 of 182-Day Bills
- 4995. Treasury Offering, 3 1/4 Percent Treasury Notes of Series G-1962
- 4998. Results of Bidding for 91-Day and 182-Day Treasury Bills to be Issued February 9, 1961
- 4999. Treasury's Current Offering of Notes, Amounts of Subscriptions and Bases of Allotments
- 5001. Treasury's Current Offering of Notes, Final Results
- 5000. Offering of Two Series of Treasury Bills, $1,100,000,000 of 91-Day Bills, Additional Amount, $500,000,000 of 182-Day Bills
- 5002. Deposits of March Tax Collections in Treasury Tax and Loan Accounts
- 5003. Offering of Two Series of Treasury Bills, $1,000,000,000 of 91-Day Bills, Additional Amount, $500,000,000 of 182-Day Bills
- 5004. Offering of Two Series of Treasury Bills, $1,100,000,000 of 91-Day Bills, Additional Amount, $500,000,000 of 182-Day Bills
- 5005. Offering of Two Series of Treasury Bills, $1,100,000,000 of 91-Day Bills, Additional Amount, $500,000,000 of 182-Day Bills
- 5006. Stolen United States Government Checks
- 5007. Federal Farm Loan Bonds, Redemption of April 3 Maturities, Offering of New Bonds
- 5009. Treasury Financing -- Advance Refunding Offer
- 5008. Offering of Two Series of Treasury Bills, $1,100,000,000 of 92-Day Bills, Additional Amount, $500,000,000 of 182-Day Bills
- 5010. Treasury Exchange Offerings, Advance Refunding of Four Treasury Issues Maturing in 1962 and 1963
- 5011. Offering of Two Series of Treasury Bills, $1,100,000,000 of 91-Day Bills, Additional Amount, $500,000,000 of 182-Day Bills
- 5013. Offering of $1,500,000,000 of 172-Day Tax Anticipation Treasury Bills
- 5012. Treasury to Raise $1 1/2 Billion Cash in Tax Bills
- 5014. Treasury's Current Advance Refunding, Preliminary Figures on Subscriptions
- 5015. Treasury Announces Higher Interest Rate for Long-term Holders of Savings Bonds
- 5017. Results of Bidding for 172-Day Treasury Bills, Dated April 3, 1961, Tax Anticipation Series
- 5016. Offering of Two Series of Treasury Bills, $1,100,000,000 of 91-Day Bills, Additional Amount, $500,000,000 of 182-Day Bills
- 5018. Treasury's Current Advance Refunding, Final Results
- 5019. Offering of Two Series of Treasury Bills, $1,100,000,000 of 91-Day Bills, Additional Amount, $500,000,000 of 183-Day Bills
- 5020. Offering of $2,000,000,000 of Special 365-Day Treasury Bills
- 5021. Offering of Two Series of Treasury Bills, $1,100,000,000 of 91-Day Bills, Additional Amount, $400,000,000 of 182-Day Bills
- 5022. Results of Refunding of $2 Billion of One-year Bills
- 5023. Counterfeit Coupons from U. S. Treasury Notes
- 5024. Resignation of Augustus C. Long as Class B Director
- 5025. Treasury Announces That Preemptive Rights Will Not Attach to Securities Maturing May 15, 1961
- 5026. Offering of Two Series of Treasury Bills, $1,100,000,000 of 91-Day Bills, Additional Amount, $400,000,000 of 182-Day Bills
- 5027. Offering of Two Series of Treasury Bills, $1,100,000,000 of 91-Day Bills, Additional Amount, $500,000,000 of 182-Day Bills
- 5028. Treasury Financing
- 5029. United States Savings Bonds, Series E, First Amendment to Treasury Department Circular No. 653
- 5030. Treasury Advance Refunding Cleared of Technical Obstacles by Attorney General
- 5031. Treasury Offerings, 3% Treasury Certificates of Indebtedness of Series A-1962, 3 1/4% Treasury Notes of Series D-1963
- 5032. Offering of Two Series of Treasury Bills, $1,100,000,000 of 91-Day Bills, Additional Amount, $500,000,000 of 182-Day Bills
- 5033. Treasury's Current Cash Offering, Amounts of Subscriptions and Bases of Allotments
- 5034. Offering of Two Series of Treasury Bills, $1,100,000,000 of 91-Day Bills, Additional Amount, $500,000,000 of 182-Day Bills
- 5035. Treasury's Current Cash Offering, Subscriptions and Allotments
- 5036. Deposits of June Tax Collections in Treasury Tax and Loan Accounts
- 5037. Offering of Two Series of Treasury Bills, $1,100,000,000 of 91-Day Bills, Additional Amount, $500,000,000 of 183-Day Bills
- 5038. Offering of Two Series of Treasury Bills, $1,000,000,000 of 91-Day Bills, Additional Amount, $500,000,000 of 182-Day Bills
- 5039. Results of Bidding for 91-Day and 183-Day Treasury Bills to be Issued May 25, 1961
- 5040. Handling of Food Stamp Coupons by Commercial Banks
- 5041. Offering of Two Series of Treasury Bills, $1,100,000,000 of 91-Day Bills, Additional Amount, $500,000,000 of 182-Day Bills
- 5042. Federal Farm Loan Bonds, Redemption of June 20 Maturity, Offering of New Bonds
- 5043. Offering of $1,800,000,000 Strip of Weekly Treasury Bills
- 5044. Interpretation of Regulation U
- 5045. Tax Basis for Purchases of Strips of Treasury Bills
- 5046. Offering of Two Series of Treasury Bills, $1,100,000,000 of 91-Day Bills, Additional Amount, $500,000,000 of 182-Day Bills
- 5047. Results of Bidding for $1.8 Billion Strip of Treasury Bills
- 5048. Offering of Two Series of Treasury Bills, $1,100,000,000 of 90-Day Bills, Additional Amount, $500,000,000 of 181-Day Bills
- 5049. Offering of Two Series of Treasury Bills, $1,100,000,000 of 91-Day Bills, Additional Amount, $500,000,000 of 182-Day Bills
- 5050. Offering of Two Series of Treasury Bills, $1,100,000,000 of 91-Day Bills, Additional Amount, $500,000,000 of 182-Day Bills
- 5052. Results of Bidding for 91-Day and 182-Day Treasury Bills to be Issued June 29, 1961
- 5051. Nomination and Election of Class B Director, for Unexpired Portion of Term Ending December 31, 1963
- 5054. Offering of $2,000,000,000 of Special 365-Day Treasury Bills
- 5053. Offering of Two Series of Treasury Bills, $1,100,000,000 of 92-Day Bills, Additional Amount, $500,000,000 of 182-Day Bills
- 5055. Amended Regulation F, Trust Powers of National Banks
- 5057. Results of Bidding for 365-Day Treasury Bills, Dated July 15, 1961
- 5056. Offering of Two Series of Treasury Bills, $1,100,000,000 of 91-Day Bills, Additional Amount, $500,000,000 of 182-Day Bills
- 5059. Treasury to Refund $12.5 Billion of Securities Maturing August 1 to October 1, and to Raise $3.5 Billion in Cash
- 5058. Offering of $3,500,000,000 of 240-Day Tax Anticipation Treasury Bills
- 5060. 3 1/4% Notes of Series H-1962 or 3 3/4% Notes of Series E-1964 or 3 7/8% Bonds of 1968, Additional Issue, Offered in Exchange for 3 1/8% Certificates of Indebtedness of Series C-1961 or 4% Notes of Series A-1961 or 2 3/4% Bonds of 1961 or 1 1/2% Treasury Notes of Series EO-1961
- 5061. Offering of Two Series of Treasury Bills, $1,100,000,000 of 91-Day Bills, Additional Amount, $500,000,000 of 182-Day Bills
- 5063. Preliminary Figures on Treasury's Current Exchange Offering
- 5062. Results of Bidding for 240-Day Treasury Bills, Dated July 26, 1961, Tax Anticipation Series
- 5064. Offering of Two Series of Treasury Bills, $1,100,000,000 of 91-Day Bills, Additional Amount, $600,000,000 of 182-Day Bills
- 5065. Treasury's Current Exchange Offering, Final Results
- 5067. Offering of Two Series of Treasury Bills, $1,100,000,000 of 91-Day Bills, Additional Amount, $600,000,000 of 182-Day Bills
- 5066. Nomination and Election of Class B Director, for Unexpired Portion of Term Ending December 31, 1963
- 5068. Margin Regulations, Amendment to Regulation T, Revision of Regulation U
- 5069. Offering of Two Series of Treasury Bills, $1,100,000,000 of 91-Day Bills, Additional Amount, $600,000,000 of 182-Day Bills
- 5071. Deposits of September Tax Collections in Treasury Tax and Loan Accounts
- 5070. Offering of Two Series of Treasury Bills, $1,100,000,000 of 92-Day Bills, Additional Amount, $600,000,000 of 183-Day Bills
- 5072. Result of Election of Class B Director, for Unexpired Portion of Term Ending December 31, 1963
- 5073. Offering of Two Series of Treasury Bills, $1,100,000,000 of 91-Day Bills, Additional Amount, $600,000,000 of 182-Day Bills
- 5074. Treasury Announces 10-Year Extension of Maturing Series H Savings Bonds
- 5076. Taxes Withheld by Banks to be Treated as Deposits in Condition Reports and for Reserve Purposes
- 5075. Offering of Two Series of Treasury Bills, $1,100,000,000 of 91-Day Bills, Additional Amount, $600,000,000 of 182-Day Bills
- 5077. Results of Bidding for 91-Day and 182-Day Treasury Bills to be Issued August 31, 1961
- 5079. Federal Farm Loan Bonds, Redemption of September 20 Maturity, Offering of New Bonds
- 5078. United States Savings Bonds, Series H, First Amendment to Treasury Department Circular No. 905, Third Amendment to Treasury Department Circular No. 530
- 5081. Transfers of Funds, Revision of Operating Circular No. 10
- 5080. Offering of Two Series of Treasury Bills, $1,100,000,000 of 91-Day Bills, Additional Amount, $600,000,000 of 182-Day Bills
- 5082. Treasury Financing
- 5083. Treasury Offerings, Advance Refunding of 2 1/2 Percent Treasury Bonds of 1965-70 and 1966-71
- 5084. Offering of $2,500,000,000 of 268-Day Tax Anticipation Treasury Bills
- 5085. Offering of Two Series of Treasury Bills, $1,100,000,000 of 91-Day Bills, Additional Amount, $600,000,000 of 182-Day Bills
- 5086. Offering of Two Series of Treasury Bills, $1,100,000,000 of 91-Day Bills, Additional Amount, $600,000,000 of 182-Day Bills
- 5087. Results of Current Treasury Offerings, Advance Refunding of 2 1/2 Percent Treasury Bonds, 268-Day Tax Anticipation Bills
- 5088. Offering of Two Series of Treasury Bills, $1,100,000,000 of 91-Day Bills, Additional Amount, $600,000,000 of 182-Day Bills
- 5090. Cash Offering, 3 1/4 Percent Treasury Notes of Series D-1963, Additional Issue, at 99.875
- 5089. Final Results of Treasury's Current Advance Refunding
- 5091. Nomination and Election of Directors
- 5092. Offering of $2,000,000,000 of Special 364-Day Treasury Bills
- 5093. Offering of Two Series of Treasury Bills, $1,100,000,000 of 90-Day Bills, Additional Amount, $600,000,000 of 181-Day Bills
- 5094. Treasury's Current Cash Offering, Amounts of Subscriptions and Bases of Allotments
- 5096. Results of Bidding for 364-Day Treasury Bills, Dated October 16, 1961
- 5097. Treasury's Current Cash Offering of Notes, Final Results
- 5095. Offering of Two Series of Treasury Bills, $1,100,000,000 of 91-Day Bills, Additional Amount, $600,000,000 of 182-Day Bills
- 5098. Offering of Two Series of Treasury Bills, $1,100,000,000 of 91-Day Bills, Additional Amount, $600,000,000 of 182-Day Bills
- 5099. Offering of Two Series of Treasury Bills, $1,100,000,000 of 91-Day Bills, Additional Amount, $600,000,000 of 182-Day Bills
- 5100. Offering of Two Series of Treasury Bills, $1,200,000,000 of 91-Day Bills, Additional Amount, $500,000,000 of 182-Day Bills
- 5102. Offering of $800,000,000 Strip of Weekly Treasury Bills
- 5101. Treasury to Refund $7 Billion of 2 1/2% Treasury Bonds Maturing November 15, 1961, and to Raise $800 Million in Cash
- 5103. 3 1/4% Treasury Notes of Series E-1963 or 3 3/4% Treasury Bonds of 1966, Additional Issue or 3 7/8% Treasury Bonds of 1974, Additional Issue Offered in Exchange for 2 1/2% Treasury Bonds of 1961
- 5105. Offering of Two Series of Treasury Bills, $1,100,000,000 of 91-Day Bills, Additional Amount, $600,000,000 of 182-Day Bills
- 5104. Nomination and Election of Directors
- 5106. Results of Bidding for $800 Million Strip of Treasury Bills
- 5107. Preliminary Results of Treasury's Current Exchange Offering
- 5108. Offering of Two Series of Treasury Bills, $1,100,000,000 of 91-Day Bills, Additional Amount, $600,000,000 of 181-Day Bills
- 5109. Deposits of December Tax Collections in Treasury Tax and Loan Accounts
- 5111. Treasury's Recent Exchange Offering of Bonds and Notes, Final Results
- 5110. 3 7/8% Treasury Bonds of 1968, Additional Issue Offered at 99.50 in Exchange for Series F or G Savings Bonds Issued in 1950, Maturing in 1962
- 5113. Special Notice to Trustees and Institutional Holders of Series F and G Savings Bonds Maturing in 1962 Desiring to Exchange Them for 3 7/8% Treasury Bonds of 1968
- 5112. Offering of Two Series of Treasury Bills, $1,100,000,000 of 91-Day Bills, Additional Amount, $600,000,000 of 182-Day Bills
- 5114. Results of Election of Directors
- 5115. Annual Limit of $20,000 Restored on Series H Savings Bonds
- 5116. Offering of Two Series of Treasury Bills, $1,100,000,000 of 91-Day Bills, Additional Amount, $600,000,000 of 182-Day Bills
- 5117. Interest on Time and Savings Deposits, New Supplement, Effective January 1, 1962, to Regulation Q
- 5119. Preliminary Results of Treasury's Current Exchange Offering Open to Holders of Series F and G Savings Bonds Maturing in 1962
- 5118. Offering of Two Series of Treasury Bills, $1,100,000,000 of 91-Day Bills, Additional Amount, $600,000,000 of 182-Day Bills
- 5120. Interpretations of Supplement, Effective January 1, 1962, to Regulation Q
- 5121. Member of Federal Advisory Council
- 5122. Offering of Two Series of Treasury Bills, $1,100,000,000 of 91-Day Bills, Additional Amount, $600,000,000 of 182-Day Bills
- 5123. Offering of Two Series of Treasury Bills, $1,100,000,000 of 91-Day Bills, Additional Amount, $600,000,000 of 182-Day Bills
- 5124. Results of Treasury's Current Exchange Offering Open to Holders of Series F and G Savings Bonds Maturing in 1962
- 5125. Results of Bidding for 91-Day and 182-Day Treasury Bills to be Issued December 21, 1961
- 5126. Offering of Two Series of Treasury Bills, $1,100,000,000 of 91-Day Bills, Additional Amount, $600,000,000 of 182-Day Bills
- 5127. Results of Bidding for 91-Day and 182-Day Treasury Bills to be Issued December 28, 1961
- 5128. United States Savings Bonds, Series H, Second Amendment to Treasury Department Circular No. 905, Fourth Amendment to Treasury Department Circular No. 530
- 5129. Appointment of Directors
- Federal Reserve Bank of New York Circulars for the Year 1962 on Certain Operations and Activities Including Those as Fiscal Agent of the United States
- 5130. Offering of Two Series of Treasury Bills
- 5132. Offering of $2,000,000,000 of Special 365-Day Treasury Bills
- 5131. Treasury to Raise $1 1/2 to $1 3/4 Billion New Cash in January
- 5133. Forty-Seventh Annual Statement
- 5134. Amendments to Regulations Q and D
- 5136. Results of Bidding for Treasury's One-Year Bill Offering
- 5135. Offering of Two Series of Treasury Bills
- 5137. Treasury Will Borrow $1 Billion by Offering More 4% Bonds of 1969
- 5138. Cash Offering
- 5140. Results of Treasury's Current Cash Offering
- 5139. Offering of Two Series of Treasury Bills
- 5141. Subscriptions and Allotments for Treasury's Current Cash Offering
- 5142. Offering of Two Series of Treasury Bills
- 5143. Offering of Two Series of Treasury Bills
- 5144. Treasury to Refund $11.7 Billion of Notes Maturing in February and April
- 5145. Federal Farm Loan Bonds
- 5147. Offering of Two Series of Treasury Bills
- 5146. 3 1/2 Percent Treasury Certificates of Indebtedness of Series A-1963, or 4 Percent Treasury Notes of Series A-1966
- 5148. Results of Bidding for 91-Day and 182-Day Treasury Bills to Be Issued February 8, 1962
- 5150. Preliminary Results of Treasury's Current Exchange Offering
- 5149. Transactions in United States Securities Other than Savings Bonds
- 5151. Board of Governors' Rules of Organization and Procedure
- 5152. Offering of Two Series of Treasury Bills
- 5153. Advance Refunding Offer
- Summary of Advance Refunding Offer
- 5154. Deposits of March Tax Collections in Treasury Tax and Loan Accounts
- 5156. Extension of Time to Trustees to Submit Subscriptions in Treasury's Current Advance Refunding
- 5155. Treasury Offerings
- 5157. Treasury's Recent Exchange Offering of Certificates and Notes
- 5158. Offering of Two Series of Treasury Bills
- Third Progress Report on MICR Programs
- 5159. Offering of Two Series of Treasury Bills
- [Flood conditions affecting Cleveland Federal Reserve Bank District]
- [Digest of secured transactions Article 9 and Mr. Hayes's letter dated March 1, 1962]
- Federal Reserve Bank of New York Directory, March 1962
- 5160. Treasury's Current Advance Refunding
- 5161. Offering of Two Series of Treasury Bills
- 5162. Treasury to Offer $1.8 Billion in Tax Anticipation Bills
- Collections Delayed by Coastal Storms
- 5164. Supplemental Report of Advance Refunding Subscriptions
- 5163. Offering of $1,800,000,000 of 182-Day Tax Anticipation Treasury Bills
- 5165. Offering of Two Series of Treasury Bills
- 5166. Nonpayment of Postal Money Orders Issued in Cuba On or After March 19, 1962
- Amended Regulation N
- 5168. Results of Treasury's Offering of $1.8 Billion 182-Day Tax Anticipation Bills
- 5167. Offering of Two Series of Treasury Bills
- 5169. Offering of Two Series of Treasury Bills
- 5170. Reports by Federal Reserve Districts of Advance Refunding Subscriptions
- Operating Ratios, Earnings and Expenses of Second District Member Banks, 1962
- 5171. Payment of Interest on Time and Savings Deposits
- 5172. Offering of $2,000,000,000 of Special 365-Day Treasury Bills
- 5173. Offering of Two Series of Treasury Bills
- 5174. Treasury Will Borrow $1 Billion By Offering 3 3/4% Bonds of 1968
- 5175. Cash Offering
- 5178. Results of Treasury's Current Cash Offering of Bonds
- 5177. Results of Refunding $2 Billion of One-Year Bills
- 5176. Offering of Two Series of Treasury Bills
- 5179. Federal Farm Loan Bonds
- Federal Open Market Committee Rules of Organization and Procedure
- 5181. Subscriptions and Allotments for Treasury's Current Cash Offering
- 5180. Offering of Two Series of Treasury Bills
- 5182. Margin Regulation
- 5183. Offering of Two Series of Treasury Bills
- 5184. Treasury to Refund $11.7 Billion of Securities Maturing May 15 and June 15
- 5185. 3 1/4 Percent Treasury Certificates of Indebtedness of Series B-1963, at Par or 3 5/8 Percent Treasury Notes of Series B-1966, at 99.80 or 3 7/8 Percent Treasury Bonds of 1971, at 99.50 Offered in Exchange for 3 Percent Treasury Certificates of Indebtedness of Series A-1962 or 4 Percent Treasury Notes of Series E-1962 or 2 1/4 Percent Treasury Bonds of June 1959-62
- 5186. Offering of Two Series of Treasury Bills
- [Currently effective lists of our Operating Circulars and Board's Regulations]
- 5187. Preliminary Results of Treasury's Current Exchange Offering
- [Death of Francis A. Smith, Buffalo Branch]
- 5188. Offering of Two Series of Treasury Bills
- 5191. Treasury's Recent Exchange Offering
- 5190. Deposits of June Tax Collections in Treasury Tax and Loan Accounts
- 5189. Offering of Two Series of Treasury Bills
- 5192. Offering of Two Series of Treasury Bills
- 5193. Offering of Two Series of Treasury Bills
- 5194. Offering of Two Series of Treasury Bills
- 5195. Offering of Two Series of Treasury Bills
- 5196. Appointment of Buffalo Branch Director
- 5197. Offering of Two Series of Treasury Bills
- Possible Delays in Check Collections Caused by Eastern Air Lines Strike
- 5198. Offering of Two Series of Treasury Bills
- 5199. Offering of $2,000,000,000 of Special 365-Day Treasury Bills
- [New member bank: First Bank of Colonia, Colonia, New Jersey]
- 5200. Offering of Two Series of Treasury Bills
- [False depositary receipts used as identification for cashing forged checks]
- 5201. Margin Requirements Reduced
- 5203. Results of Refunding $2 Billion of One-Year Bills
- 5202. Offering of Two Series of Treasury Bills
- 5204. Offering of Two Series of Treasury Bills
- 5205. Offering of Two Series of Treasury Bills
- 5206. Treasury's New Financing
- 5207. Cash Offerings
- 5208. Offering of Two Series of Treasury Bills
- 5209. Treasury's Current Cash Offering
- 5210. Federal Farm Loan Bonds
- 5211. Offering of Two Series of Treasury Bills
- 5214. Treasury's Current Cash Offerings
- [Letter from Mr. Hayes]
- 5213. Offering of Two Series of Treasury Bills
- 5212. Notice of Call for Redemption
- 5215. Deposits of September Tax Collections in Treasury Tax and Loan Accounts
- 5216. Offering of Two Series of Treasury Bills
- Fourth Progress Report on MICR Program
- 5218. Offering of Two Series of Treasury Bills
- 5217. Reserves of Member Banks
- 5219. Results of Bidding for 91-Day and 182-Day Treasury Bills to be Issued August 30, 1962
- 5221. Advance Refunding Offer
- 5220. Offering of Two Series of Treasury Bills
- Summary of Advance Refunding Offer
- 5222. Treasury Offerings
- 5223. Offering of Two Series of Treasury Bills
- 5224. Treasury Plans to Sell Long-Term Bonds Through Competitive Bidding
- 5225. Treasury's Advance Refunding Results
- 5227. Final Results of Treasury's Current Advance Refunding
- 5226. Offering of Two Series of Treasury Bills
- 5228. Offering of $3,000,000,000 of 170-Day Tax Anticipation Treasury Bills
- 5230. Supplemental Report of Subscriptions for Treasury's Latest Advance Refunding
- 5229. Offering of Two Series of Treasury Bills
- 5231. Results of Treasury's Offering of $3 Billion 170-Day Tax Anticipation Bills
- 5232. Trust Powers of National Banks Now Regulated by Comptroller of the Currency
- 5234. Offering of $2,500,000,000 of Special 365-Day Treasury Bills
- 5233. Amendment to Regulation J
- 5235. Offering of Two Series of Treasury Bills
- 5236. Federal Farm Loan Bonds
- 5237. Nomination and Election of Directors
- 5238. Offering of Two Series of Treasury Bills
- 5239. Results of Treasury's One-Year Bill Offering
- 5240. Three-Year Exemption From Interest Rate Limitation on Certain Foreign Deposits
- 5242. Special Request from Treasury on Reports of Unusual Currency Transactions
- 5241. Offering of Two Series of Treasury Bills
- 5243. Reserve Requirements on Savings and Time Deposits Reduced from 5% to 4%
- Bank Service Corporation Act, Effective October 23, 1962
- 5244. Offering of Two Series of Treasury Bills
- 5245. Treasury to Refund $11 Billion of Securities Maturing November 15 and December 15
- 5246. Treasury Exchange Offering for November 15 and December 15 Maturities
- 5248. Amendment to Regulation Q
- 5247. Treasury Tax and Loan Depositaries
- Armed Forces Leave Bonds
- 5249. Offering of Two Series of Treasury Bills
- 5250. Offering of $1,000,000,000 Strip of Weekly Treasury Bills
- 5251. Preliminary Results of Treasury's Current Exchange Offering
- 5252. Offering of Two Series of Treasury Bills
- 5253. Results of Bidding for 91-Day and 182-Day Treasury Bills to be Issued November 8, 1962
- [New member bank: Hillside State Bank, Hillside, New Jersey]
- 5254. Results of Bidding for $1 Billion Strip of Treasury Bills
- [Proposed regulations, notice of proposed rule through competitive bidding, and public notice of invitation to bid]
- 5256. Offering of Two Series of Treasury Bills
- 5255. Nomination and Election of Directors
- [New member bank: The Short Hills National Bank, Short Hills, New Jersey]
- 5257. Exchange Offering for Holders of Series F and G Savings Bonds Maturing in 1963 and 1964
- 5258. Deposits of December Tax Collections in Treasury Tax and Loan Accounts
- 5259. Treasury Exchange Offering for Series F or G Savings Bonds Maturing in 1963-64
- 5260. Subscription Figures for Treasury's Recent Exchange Offering
- 5261. Coin Shortage
- 5262. Offering of Two Series of Treasury Bills
- 5263. Offering of Two Series of Treasury Bills
- [New member bank: Royal National Bank of New York, New York, N.Y.]
- 5264. Results of Election of Directors
- 5265. Offering of Two Series of Treasury Bills
- 5266. Preliminary Results of Treasury's Current Exchange Offering Open to Holders of Series F and G Savings Bonds Maturing in 1963 and 1964
- Proposed New Regulation S, "Bank Service Arrangements"
- 5267. Member of Federal Advisory Council
- 5268. Appointment of Directors
- 5269. Offering of Two Series of Treasury Bonds
- 5270. Offering of Two Series of Treasury Bonds
- [Proposed regulations, notice of proposed rule through competitive bidding, and public notice of invitation to bid]
- 5271. Subscription Figures for Treasury Offering Open to Holders of Series F and G Savings Bonds Maturing in 1963 and 1964
- [New member bank: Franklin Lakes National Bank, Franklin Lakes, New Jersey]
- 5272. Results of Bidding for 91-Day and 182-Day Treasury Bills to be Issued December 20, 1962
- 5273. Treasury Announces Offering of Bonds at Competitive Bidding
- 5274. Offering of Two Series of Treasury Bills
- 5275. Results of Bidding for 91-Day and 182-Day Treasury Bills to be Issued December 27, 1962
- 5276. Reprint of Regulation T
- 5277. Inclusion of Tax Account Numbers on Series H Savings Bonds
- Federal Reserve Bank of New York Circulars for the Year 1963 on Certain Operations and Activities Including Those as Fiscal Agent of the United States
- [Treasury Gives Competitive Bidders for Bonds Choice of 4 or 4 1/8 Percent Coupon Interest Rate]
- 5280. Treasury Gives Competitive Bidders for Bonds Choice of 4 or 4 1/8 Percent Coupon Interest Rate
- 5279. Offering of $2,500,000,000 of Special 365-Day Treasury Bills
- [New member bank: Lincoln National Bank, Stamford, Connecticut]
- 5278. Offering of Two Series of Treasury Bills
- 5281. Forty-Eighth Annual Statement
- 5282. Treasury Announces Results of Competitive Bidding for $250 Million Treasury Bonds
- 5283. Offering of Two Series of Treasury Bills
- 5284. Results of Treasury's One-Year Bill Offering
- Notice of Sale of 4 Percent Treasury Bonds of 1988-93
- 5285. New Treasury Retirement Plan Bond
- 5286. Offering of Two Series of Treasury Bills
- 5288. Offering of $1,000,000,000 of 138-Day Tax Anticipation Treasury Bills
- 5287. Reappearance of Chain Letters Involving United States Savings Bonds
- 5289. Offering of Two Series of Treasury Bills
- 5290. Taxpayer Identifying Numbers Required on Applications for Series H Savings Bonds Beginning February 1, 1963
- 5291. Distribution of 4 Percent Treasury Bonds of 1988-93 Sold at Competitive Bidding on January 8, 1963
- 5293. Treasury Announces $9.5 Billion Exchange and Outlines Future Financing Plans
- 5292. Offering of Two Series of Treasury Bills
- 5294. Results of Treasury's $1 Billion 138-Day Tax Anticipation Bill Offering
- 5296. Federal Farm Loan Bonds
- 5295. 3 1/4 Percent Treasury Certificates of Indebtedness of Series A-1964 or 3 3/4 Percent Treasury Bonds of 1968, Additional Issue Offered at Par in Exchange for 3 1/2 Percent Treasury Certificates of Indebtedness of Series A-1963 or 2 5/8 Percent Treasury Notes of Series A-1963 or 3% Percent Treasury Notes of Series E-1963
- 5297. Amended Regulation I
- 5298. Offering of Two Series of Treasury Bills
- 5299. Preliminary Results of Treasury's Current Exchange Offering
- 5300. Offering of Two Series of Treasury Bills
- 5301. Subscription Figures for Treasury's Current Exchange Offering
- 5302. Offering of Two Series of Treasury Bills
- Advance Refunding Offer
- 5303. Deposits of March Tax Collections in Treasury Tax and Loan Accounts
- 5304. Treasury Offerings
- 5305. Extension of Subscription Privileges for Trustees in Treasury Advance Refunding
- Advance Refunding, U.S. Treasury Department
- 5306. Offering of Two Series of Treasury Bills
- 5307. Collection of Envelope Drafts and Other Items Requiring "Special Handling" as Noncash Items
- 5309. Treasury's Current Advance Refunding
- 5308. Revised Purchase Application Forms for Series H Savings Bonds
- Fifth Progress Report on MICR Programs
- 5310. Offering of Two Series of Treasury Bills
- 5312. Supplemental Report of Subscriptions for Treasury's Latest Advance Refunding
- 5311. Offering of $1,500,000,000 of 94-Day Tax Anticipation Treasury Bills
- [Currently effective lists of our operating circulars and Board's regulations, and revised table of contents of Board's regulations]
- 5313. Offering of Two Series of Treasury Bills
- 5314. Treasury's Latest Advanced Refunding
- 5315. Results of Treasury's Offer of Additional $1.5 Billion in June Tax Bills
- 5316. Offering of Two Series of Treasury Bills
- 5317. Treasury Announces Second Offering of Bonds at Competitive Bidding
- [Operating ratios--earnings and expenses of Second District member banks for the year 1962]
- 5318. Offering of Two Series of Treasury Bills
- [New member bank: Flushing National Bank, Flushing, New York]
- 5319. Offering of $2,500,000,000 of Special 366-Day Treasury Bills
- Supplement to Public Notice of Invitation to Bid for Treasury Bonds of 1989-94
- 5321. Treasury Gives Competitive Bidders for Bonds Choice of 4 or 4 1/8 Percent Coupon Interest Rate
- 5320. Offering of Two Series of Treasury Bills
- 5322. Treasury Announces Results of Competitive Bidding for $300 Million Treasury Bonds
- Notice of Sale of 4 1/8 Percent Treasury Bonds of 1989-94
- 5323. Offering of Two Series of Treasury Bills
- 5324. Results of Treasury's One-Year Bill Offering
- 5325. Federal Farm Loan Bonds
- [Death of J. Monroe Hodges, Buffalo Branch]
- 5326. Offering of Two Series of Treasury Bills
- 5327. Taxpayer Identifying Numbers on Series H and K Savings Bonds Issued in Coownership Form
- 5330. Treasury Announces $9.5 Billion May 15 Refunding
- 5329. Offering of Two Series of Treasury Bills
- 5328. Regulation S
- 5331. 3 1/4 Percent Treasury Certificates of Indebtedness of Series B-1964 or 3 5/8 Percent Treasury Notes of Series B-1966, Additional Issue Offered at Par in Exchange for 3 1/4 Percent Treasury Certificates of Indebtedness of Series B-1963 or 4 Percent Treasury Notes of Series B-1963 or 3 1/4 Percent Treasury Notes of Series D-1963
- 5332. Offering of Two Series of Treasury Bills
- 5333. Preliminary Results of Treasury's Current Exchange Offering
- Questions and Answers on Regulation U
- 5334. Offering of Two Series of Treasury Bills
- 5336. Subscription Figures for Treasury's Current Exchange Offering
- 5335. Offering of Two Series of Treasury Bills
- 5337. Deposits of June Tax Collections in Treasury Tax and Loan Accounts
- 5338. Offering of Two Series of Treasury Bills
- 5339. Offering of Two Series of Treasury Bills
- 5340. Appointment of Buffalo Branch Director
- 5341. Offering of Two Series of Treasury Bills
- 5342. Treasury to Borrow $1 1/4 Billion by Offering 7-Year 4% Bonds
- 5343. Cash Offering
- 5344. Offering of Two Series of Treasury Bills
- 5345. Results of Treasury's Offering of 4% Bonds of 1970
- Counterfeit U.S. Treasury Note Coupons
- 5347. Subscriptions and Allotments for Treasury's Current Cash Offering of 4% Bonds of 1970
- 5346. Offering of Two Series of Treasury Bills
- 5349. Offering of Two Series of Treasury Bills
- 5348. Deposits of June Tax Collections in Treasury Tax and Loan Accounts
- 5350. Reports of Transactions in Foreign Exchange, Transfers of Credit, and Export of Coin and Currency
- 5351. Offering of $2,000,000,000 of Special 366-Day Treasury Bills
- 5352. Offering of Two Series of Treasury Bills
- 5353. Cuban Assets Control Regulations
- 5355. Results of Treasury's One-Year Bill Offering
- 5354. Offering of Two Series of Treasury Bills
- 5356. ZIP Code Mailing Addresses of this Bank's Head Office and Buffalo Branch
- 5357. Treasury Considers Monthly Auctions of One-Year Bills
- 5358. Increases in Discount Rates of this Bank and Six Other Federal Reserve Banks and Increases in Maximum Interest Rates on Time Deposits Under Regulation Q
- Invitation for Bids on $25,000,000 of 127-Day Tennessee Valley Authority Power Notes
- 5359. Offering of Two Series of Treasury Bills
- Detailed Explanation of the Interest Equalization Tax
- Results of Bidding for $25,000,000 of 127-Day Tennessee Valley Authority Power Notes
- 5361. Treasury Announces $6.6 Billion August 15 Refunding
- 5360. Offering of Two Series of Treasury Bills
- 5362. 3 3/4 Percent Treasury Notes of Series F-1964 Offered at Par in Exchange for 3 1/2 Percent Treasury Certificates of Indebtedness of Series C-1963 or 2 1/2 Percent Treasury Bonds of 1963
- 5363. Offering of Two Series of Treasury Bills
- 5366. Federal Farm Loan Bonds
- 5365. Preliminary Results of Treasury's Current Exchange Offering
- 5364. Change in Buffalo Branch's ZIP Code
- 5367. Offering of Two Series of Treasury Bills
- 5368. General Regulations Governing United States Securities
- 5369. Offering of Two Series of Treasury Bills
- 5370. Subscription Figures for Treasury's Current Exchange Offering
- 5372. Deposits of September Tax Collections in Treasury Tax and Loan Accounts
- 5371. Payment of Interest on Time and Savings Deposits
- 5374. Treasury Offers $1 Billion of One-Year Bills
- 5373. Offering of Two Series of Treasury Bills
- 5375. Deposits of Trustees in Bankruptcy as "Savings Deposits" Under Regulation Q
- 5376. Foreign Banking and Financing Corporations
- Sixth Progress Report on MICR Program
- 5377. Offering of Two Series of Treasury Bills
- 5378. Results of Bidding for 92-Day and 182-Day Treasury Bills to be Issued August 29, 1963
- 5379. Results of Treasury's One-Year Bill Offering
- 5380. Change in Classification of Member Banks for Purpose of Electing Directors
- 5382. Advance Refunding
- 5381. Offering of Two Series of Treasury Bills
- 5383. Treasury Statement on Advance Refunding
- 5384. Advance Refunding of Certain Certificates, Notes, and Bonds Maturing in 1964-67
- 5385. Foreign Branches of Member Banks
- 5386. Offering of Two Series of Treasury Bills
- "Money on the Move--The Federal Reserve Today," Letter Announcing Release of a New System Film
- 5387. Offering of $1,000,000,000 of Special 365-Day Treasury Bills
- 5389. Offering of Two Series of Treasury Bills
- 5388. Preliminary Results of Treasury's Advance Refunding
- 5391. Reports by Federal Reserve Districts of Subscription to Current Advance Refunding
- 5390. Nomination and Election of Directors
- 5392. Shipments of Coin to This Bank to Relieve Shortages
- 5393. Offering of Two Series of Treasury Bills
- 5394. Results of Treasury's One-Year Bill Offering
- Historical Directory of the Banks of the State of New York
- Directory of New Jersey Banks
- 5396. Offering of $2,000,000,000 of 160-Day Tax Anticipation Treasury Bills
- 5395. Offering of Two Series of Treasury Bills
- 5398. Foreign Banking and Financing Corporations
- 5397. Federal Farm Loan Bonds
- 5399. Offering of Two Series of Treasury Bills
- 5400. Results of Treasury's $2 Billion 160-Day Tax Anticipation Bill Offering
- 5402. Offering of $1,000,000,000 Strip of Weekly Treasury Bill
- 5401. Offering of Two Series of Treasury Bills
- 5406. Treasury Announces Plans for November Refunding and Issuance of $1 Billion of One-Year Treasury Bills
- 5405. Offering of $1,000,000,000 of Special 362-Day Treasury Bills
- 5404. Results of Offering of $1 Billion Strip of Treasury Bills
- 5403. Offering of Two Series of Treasury Bills
- 5407. Cash Offering
- 5409. Offering of Two Series of Treasury Bills
- 5408. Nomination and Election of Directors
- 5411. Treasury's Current Cash Offering of 3 7/8 Percent Notes
- 5410. Results of Treasury's One-Year Bill Offering
- 5412. Offering of Two Series of Treasury Bills
- 5414. Results of Bidding for 91-Day and 182-Day Treasury Bills to be Issued November 7, 1963
- 5413. Margin Requirements Increased
- 5415. Offering of Two Series of Treasury Bills
- 5417. Treasury's Current Cash Offering
- 5416. Results of Election of Directors
- Invitation for Bids on $35,000,000 of 118-Day Tennessee Valley Authority Power Notes
- [Mr. Hayes's letter transmitting application of investment securities regulation to member State banks]
- 5419. Deposits of December Tax Collections in Treasury Tax and Loan Accounts
- 5418. United States Savings Bonds
- 5420. Offering of Two Series of Treasury Bills
- 5421. Offering of $1,000,000,000 of Special 363-Day Treasury Bills
- New $1 Federal Reserve Notes
- 5422. Offering of Two Series of Treasury Bills
- 5423. Results of Treasury's One-Year Bill Offering
- By-laws of the Federal Reserve Bank of New York as Amended Effective October 5, 1951 and By-laws of Its Buffalo Branch as Amended Effective April 1, 1954
- 5424. Collection of Items Requiring Special Handling as Noncash Items
- 5425. Offering of Two Series of Treasury Bills
- 5426. Collection of Cash Items
- 5427. Member of Federal Advisory Council
- Taxpayer Identifying Numbers on Savings Bonds
- 5428. Offering of Two Series of Treasury Bills
- Counterfeit Series E Savings Bonds
- 5430. Treasury Announces Schedule for Regular Weekly Bill Auctions During Holiday Season
- 5429. Offering of Two Series of Treasury Bills
- 5431. Results of Bidding for 91-Day and 182-Day Treasury Bills to be Issued December 19, 1963
- 5433. Offering of $1,000,000,000 of Special 363-Day Treasury Bills
- 5432. Offering of Two Series of Treasury Bills
- 5434. Deposits of Business Corporations Not Classifiable as "Savings Deposits" Under Regulations Q and D
- 5435. Appointment of Directors
- 5437. Results of Treasury's One-Year Bill Offering
- 5436. Offering of Two Series of Treasury Bills
- Federal Reserve Bank of New York Circulars for the Year 1964 on Certain Operations and Activities Including Those as Fiscal Agent of the United States
- 5439. Treasury's January Borrowing Plan
- 5438. Offering of $2,500,000,000 of 159-Day Tax Anticipation Treasury Bills
- [New member bank: National Bank of Secaucus, Secaucus, New Jersey]
- 5442. Advance Refunding Offer
- 5441. Offering of Two Series of Treasury Bills
- 5440. Forty-Ninth Annual Statement
- 5444. Capital Notes and Debentures as "Capital," "Capital Stock," or "Surplus"
- 5443. Advance Refunding
- 5446. Results of Treasury's $2.5 Billion 159-Day Tax Anticipation Bill Offering
- Advance Refunding U.S. Treasury Department
- 5445. Advance Refunding of Certain Notes and Bonds in 1964 and 1965
- 5447. Offering of Two Series of Treasury Bills
- 5448. Treasury's Advance Refunding Results
- 5449. Offering of Two Series of Treasury Bills
- 5450. Offering of $1,000,000,000 of Special 360-Day Treasury Bills
- 5451. Offering of Two Series of Treasury Bills
- 5453. Treasury Announces $8.4 Billion Refunding
- 5452. Reports of Subscriptions and Allotments for Current Advance Refunding
- 5455. Results of Treasury's One-Year Bill Offering
- 5454. 3 7/8 Percent Treasury Notes of Series D-1965, at 99.875, or 4 Percent Treasury Notes of Series A-1966, Additional Issue, at Par, Offered in Exchange for 3 1/4 Percent Treasury Certificates of Indebtedness of Series A-1964 or 3 Percent Treasury Bonds of 1964
- 5457. Reserves of Member Banks
- 5456. Offering of Two Series of Treasury Bills
- 5458. Preliminary Results of Treasury's Current Exchange Offering
- 5459. Offering of Two Series of Treasury Bills
- 5460. Deposits of March Tax Collections in Treasury Tax and Loan Accounts
- 5462. Offering of $1,000,000,000 of Special 362-Day Treasury Bills
- 5461. Subscription Figures for Treasury's Current Exchange Offering
- 5463. Offering of Two Series of Treasury Bills
- Seventh Progress Report on MICR Program
- 5464. "Window Dressing" in Bank Reports
- 5465. Offering of Two Series of Treasury Bills
- 5466. Results of Treasury's One-Year Bill Offering
- [New member bank: Century National Bank and Trust Company, New York, N.Y.]
- 5467. Offering of Two Series of Treasury Bills
- Reappearance of Counterfeit Series E Savings Bonds
- 5468. Offering of Two Series of Treasury Bills
- 5470. Bank of America Travelers Cheques
- 5469. New $75 Savings Bond
- New Kennedy Half Dollar
- Federal Reserve Bank of New York Directory
- Invitation for Bids on $35,000,000 of 126-Day Tennessee Valley Authority Power Notes
- 5471. Offering of Two Series of Treasury Bills
- 5472. Offering of Two Series of Treasury Bills
- 5474. Offering of $1,000,000,000 of Special 357-Day Treasury Bills
- 5473. Treasury Announces $1 Billion New Cash Borrowing and Regular One-Year Bill
- 5475. Cash Offering
- Operating Ratios, Income and Dividends of Second District Member Banks
- 5476. Offering of Two Series of Treasury Bills
- 5477. Results of Treasury's Current Cash Offering of Notes
- 5478. Collection of Items Requiring Special Handling as Noncash Items
- 5480. Results of Treasury's One-Year Bill Offering
- 5479. Federal Farm Loan Bonds
- 5481. Subscriptions and Allotments for Treasury's Current Cash Offering
- 5482. Offering of Two Series of Treasury Bills
- Series J and K Savings Bonds Begin to Mature May 1, 1964, and Do Not Earn Interest After Maturity
- [New member bank: Norwalk National Bank, Norwalk, Connecticut]
- 5483. Offering of Two Series of Treasury Bills
- 5484. Offering of Two Series of Treasury Bills
- 5485. Offering of $1,000,000,000 of Special 359-Day Treasury Bills
- 5487. Treasury Announces $10.6 Billion May 15 Refunding
- 5486. Offering of Two Series of Treasury Bills
- 5490. Results of Treasury's One-Year Bill Offering
- 5489. 4 Percent Treasury Notes of Series E-1965, at 99.875, or 4 1/4 Percent Treasury Bonds of 1974, at Par, Offered in Exchange for 3 1/4 Percent Treasury Certificates of Indebtedness of Series B-1964, or 4 3/4 Percent Treasury Notes of Series A-1964, or 3 Percent Treasury Bonds of 1964
- 5488. Treasury Removes Restrictions on United States Gold Certificates Issued before 1934
- 5491. Foreign Assets Control Regulations Made Applicable to North Viet-Nam
- 5492. Offering of Two Series of Treasury Bills
- 5493. Preliminary Results of Treasury's Current Exchange Offering
- United States Savings Bonds
- 5494. Offering of Two Series of Treasury Bills
- 5496. Subscription Figures for Treasury's Current Exchange Offering
- 5495. Safekeeping, Handling, and Shipment of Securities
- 5497. Deposits of June Tax Collections in Treasury Tax and Loan Accounts
- [Mr. Hayes' printed letter and questionnaire regarding current shortage of coinage]
- [Currently effective lists of our operating circulars and Board's regulations, and revised table of contents of the Board's regulations]
- 5498. Offering of Two Series of Treasury Bills
- 5499. Offering of $1,000,000,000 of Special 363-Day Treasury Bills
- 5500. Offering of Two Series of Treasury Bills
- 5501. Results of Treasury's One-Year Bill Offering
- 5502. Offering of Two Series of Treasury Bills
- [New member bank: First National Bank of Scotch Plains, Scotch Plains, New Jersey]
- 5503. Offering of Two Series of Treasury Bills
- 5504. Offering of Two Series of Treasury Bills
- 5505. Offering of Two Series of Treasury Bills
- 5507. Statement on Treasury Financing
- 5506. Offering of $1,000,000,000 of Special 365-Day Treasury Bills
- 5508. July 3, 1964 - A Bank Holiday in New Jersey
- 5510. Undivided Profits Not Part of Capital or Surplus Under Federal Reserve Act
- 5509. Treasury to Double Coin Production
- 5511. Offering of Two Series of Treasury Bills
- 5512. Results of Treasury's One-Year Bill Offering
- 5514. Advance Refunding Offer
- 5513. Offering of Two Series of Treasury Bills
- 5515. Advance Refunding Offer
- Advance Refunding U.S. Treasury Department
- 5516. Advance Refunding of Certain Notes and Bonds Maturing in 1964-67
- 5518. Investments by Member Banks in Stock of Foreign Banks
- 5517. Offering of Two Series of Treasury Bills
- 5520. Offering of $1,000,000,000 Strip of Weekly Treasury Bills
- 5519. Treasury Offers Additional Bills
- Invitation for Bids on $35,000,000 of 120-Day Tennessee Valley Authority Power Notes
- 5521. Preliminary Results of Treasury's Advance Refunding
- 5522. Offering of Two Series of Treasury Bills
- 5523. Offering of $1,000,000,000 of Special 361-Day Treasury Bills
- [New member bank: Madison National Bank, Madison, New Jersey]
- 5525. Results of Offering of $1 Billion Strip of Treasury Bills
- 5524. Report of Subscriptions and Allotments for Current Advance Refunding
- 5527. Treasury Announces August Refunding Terms and Plans for March Tax Bill Offering
- 5526. Offering of Two Series of Treasury Bills
- [New member bank: Westport National Bank, Westport, Connecticut]
- 5529. Results of Treasury's One-Year Bill Offering
- 5528. Cash Offering
- 5531. Results of Treasury's Current Cash Offering of 3 7/8% Notes
- 5530. Offering of Two Series of Treasury Bills
- 5532. Federal Farm Loan Bonds
- 5533. Offering of Two Series of Treasury Bills
- [Digest of Secured Transactions, Article 9, Uniform Commercial Code, and Mr. Hayes's letter]
- 5535. Treasury's Current Cash Offering
- 5534. Deposits of September Tax Collections in Treasury Tax and Loan Accounts
- 5537. Offering of $1,000,000,000 of Special 365-Day Treasury Bills
- 5536. Offering of Two Series of Treasury Bills
- 5538. Shipments of Coin to This Bank During Current Shortage
- 5539. Offering of $1,000,000,000 of 201-Day Tax Anticipation Treasury Bills
- Proposed New Regulations on Securities of Member State Banks
- [New member bank: Peoples National Bank of Sparta, Sparta, New Jersey]
- 5541. Results of Treasury's One-Year Bill Offering
- 5540. Offering of Two Series of Treasury Bills
- 5542. Results of Treasury's $1 Billion 201-Day Tax Anticipation Bill Offering
- 5544. Offering of Two Series of Treasury Bills
- 5543. Treasury to Increase Amount of Offerings of 3-Month Treasury Bills Maturing December 10-31
- 5546. Results of Bidding for 91-Day and 182-Day Treasury Bills to be Issued September 3, 1964
- 5545. Collection of Cash Items and Noncash Items
- 5548. Mint Output Increases; Next Year's Coins to Bear 1964 Date
- 5547. Offering of Two Series of Treasury Bills
- Treasury's School Savings Program
- 5549. Unsecured Negotiable Notes Issued by Member Commercial Banks
- Additional Sections of Proposed New Regulation on Securities of Member State Banks
- Notice of Procedures for Commercial Bank Reporting of Foreign Loans Under Interest Equalization Tax Act
- 5550. Offering of Two Series of Treasury Bills
- 5551. Offering of $1,000,000,000 of Special 365-Day Treasury Bills
- 5552. Offering of Two Series of Treasury Bills
- 5553. Results of Treasury's One-Year Bill Offering
- 5554. Nomination and Election of Directors
- 5555. Offering of Two Series of Treasury Bills
- [New member bank: Metropolitan National Bank of Syracuse, Syracuse, New York]
- 5557. Federal Farm Loan Bonds
- 5556. Offering of Two Series of Treasury Bill
- 5558. Results of Bidding for 91-Day and 182-Day Treasury Bills to be Issued October 8, 1964
- Time Extended to November 23 for Comments on Proposed New Regulation F
- 5560. Offering of $1,500,000,000 of 147-Day Tax Anticipation Treasury Bills, Additional Amount
- 5559. Offering of Two Series of Treasury Bills
- 5563. Offering of $1,000,000,000 of Special 365-Day Treasury Bills
- 5562. Results of Treasury's Offer of Additional $1.5 Billion in March Tax Bills
- 5561. Offering of Two Series of Treasury Bills
- 5566. Treasury Announces November Refunding Terms
- 5565. Results of Treasury's One-Year Bill Offering
- 5564. Offering of Two Series of Treasury Bills
- Series F Savings Bonds Not Exchangeable for Series H Savings Bonds After October 31, 1964
- 5567. Cash Offering
- 5568. Offering of Two Series of Treasury Bonds
- 5570. Results of Treasury's Current Cash Offering of 4% Notes
- [New member bank: Eatontown National Bank, Eatontown, New Jersey]
- 5569. Nomination and Election of Directors
- 5572. Offering of $1,500,000,000 of 210-Day Tax Anticipation Treasury Bills
- 5571. Offering of Two Series of Treasury Bills
- [New member bank: Chelsea National Bank, New York, N.Y.]
- Invitation for Bids on $45,000,000 of 118-Day Tennessee Valley Authority Power Notes
- 5573. Treasury's Current Cash Offering
- 5574. Deposits of December Tax Collections in Treasury Tax and Loan Accounts
- 5577. Offering of $1,000,000,000 of Special 365-Day Treasury Bills
- 5576. Results of Treasury's $1.5 Billion 210-Day Tax Anticipation Bill Offering
- 5575. Offering of Two Series of Treasury Bills
- [New member bank: Raritan Valley National Bank, Edison (P.O. Menlo Park), New Jersey]
- 5578. Increases in Discount Rates of this Bank and Four Other Federal Reserve Banks | Increases in Maximum Interest Rates on Savings and Time Deposits Under Regulation Q
- 5579. Results of Election of Directors
- 5581. Results of Treasury's One-Year Bill Offering
- 5580. Offering of Two Series of Treasury Bills
- 5582. Collection of Items Requiring Special Handling as Noncash Items
- 5583. Offering of Two Series of Treasury Bills
- 5585. Payment of Interest on Time and Savings Deposits
- 5584. Member of Federal Advisory Council
- 5586. Offering of Two Series of Treasury Bills
- 5587. Offering of Two Series of Treasury Bills
- 5588. Results of Bidding for 91-Day and 182-Day Treasury Bills to be Issued December 17, 1964
- 5589. Offering of $1,000,000 of Special 365-Day Treasury Bills
- 5593. Appointment of Directors
- [New member bank: Freedom National Bank of New York, New York, N.Y.]
- 5590. Offering of Two Series of Treasury Bills
- 5591. Results of Treasury's One-Year Bill Offering
- 5592. Advances and Discounts
- 5594. Offering of Two Series of Treasury Bills
- 5596. Advance Refunding Offer
- 5595. New Regulation F on Securities of Member State Banks
- 5597. Advance Refunding of Certain Notes and Bonds Maturing in 1965-67
- Federal Reserve Bank of New York Circulars for the Year 1965 on Certain Operations and Activities Including Those as Fiscal Agent of the United States
- [New member bank: First National Bank of East Hampton, East Hampton, N.Y.]
- 5599. Offering of $1,750,000,000 of 155-Day Tax Anticipation Treasury Bills, Additional Amount
- 5598. Offering of Two Series of Treasury Bills
- 5600. Fiftieth Annual Statement
- 5601. Preliminary Results of Treasury's Advance Refunding
- 5603. Results of Treasury's Offer of Additional $1 3/4 Billion in June Tax Bills
- 5602. Offering of Two Series of Treasury Bills
- 5604. Payment of Final Interest on Registered Treasury Securities
- 5606. Offering of Two Series of Treasury Bills
- 5605. Offering of $1,000,000,000 of Special 365-Day Treasury Bills
- 5607. Report of Subscriptions and Allotments for Current Advance Refunding
- 5609. Results of Treasury's One-Year Bill Offering
- 5610. Treasury Announces February Refunding Terms
- 5608. Offering of Two Series of Treasury Bills
- 5611. Cash Offering
- 5613. Results of Treasury's Current Cash Offering of 4% Notes
- 5612. Offering of Two Series of Treasury Bills
- 5614. Treasury Tax and Loan Depositaries
- 5615. Offering of Two Series of Treasury Bills
- 5616. President's Balance of Payments Program
- 5618. Treasury's Current Cash Offering
- 5617. Offering of Two Series of Treasury Bills
- 5620. Deposits of March and April Tax Collections in Treasury Tax and Loan Accounts
- 5619. Results of Bidding for 91-Day and 182-Day Treasury Bills to be Issued February 18, 1965
- 5621. Offering of $1,000,000,000 of Special 365-Day Treasury Bills
- 5622. Role of Federal Reserve System, Banks, and Other Financial Institutions in President's Balance of Payments Program
- 5624. Results of Treasury's One-Year Bill Offering
- 5623. Offering of Two Series of Treasury Bills
- Eighth Progress Report on MICR Program
- 5626. Offering of Two Series of Treasury Bills
- 5625. United States Savings Bonds
- 5627. Tentative Guidelines for Foreign Lending Activities of Nonbank Financial Institutions Under the President's Balance of Payments Program
- 5628. Guidelines for Foreign Lending Activities of Commercial Banks Under the President's Balance of Payments Program
- Regulation F
- [Amendment to Regulation M]
- 5629. Offering of Two Series of Treasury Bills
- 5630. Amendment of Guideline No. 1 for Foreign Lending Activities of Commercial Banks
- [Letter from William F. Treiber to certain financial institutions for amplification of program for nonbank financial institutions, enclosing questionnaire]
- Invitation for Bids on $45,000,000 of 126-Day Tennessee Valley Authority Power Notes
- [Transmission to commercial banks of documents relating to program for nonbank financial institutions]
- [Letter from William F. Treiber to certain financial institutions for amplification of program for nonbank financial institutions, enclosing questionnaire]
- 5631. Offering of Two Series of Treasury Bills.
- 5633. Program of Department of Commerce for Business Concerns Under the President's Balance of Payments Program
- 5632. Offering of $1,000,000,000 of Special 365-Day Treasury Bills
- 5634. Interpretation of Regulation U
- [Letter from Alfred Hayes relating to the voluntary foreign credit Restraint program]
- [Letter from Alfred Hayes to members of the New York Stock Exchange and advisory services concerning implementation of voluntary foreign credit Restraint program]
- 5635. Offering of Two Series of Treasury Bills
- 5636. Results of Treasury's One-Year Bill Offering
- [Letter from Alfred Hayes on implementation of voluntary foreign credit Restraint program for nonbank financial institutions in order to bring program to attention of customers of, and enclosing questionnaire on foreign assets held by their trust departments]
- Operating Ratios, Income and Dividends of Second District Member Banks for the Year 1965
- 5637. Offering of Two Series of Treasury Bills
- 5638. Federal Farm Loan Bonds
- 5639. Offering of Two Series of Treasury Bills
- [Letter from Alfred Hayes, reminder of questionnaire on foreign lending and investing activities of nonbank financial institutions]
- [New member bank: Englewood National Bank and Trust Company, Englewood, N.J.]
- 5640. Offering of Two Series of Treasury Bills
- Federal Reserve Bank of New York Directory
- 5641. Offering of $1,000,000,000 of Special 365-Day Treasury Bills
- 5642. Offering of Two Series of Treasury Bills
- 5644. Amendment to Regulation T
- 5643. Results of Treasury's One-Year Bill Offering
- 5645. Interpretation of Regulation Q
- 5648. Treasury Announces May 15 Refunding Terms
- 5647. Revision of Guideline No. 13 for Foreign Lending Activities of Commercial Banks
- 5646. Offering of Two Series of Treasury Bills
- [Currently effective lists of our operating circulars and Board's regulations, and revised table of contents of Board's regulations]
- [New member bank: Security National Bank, Newark, N.J.]
- 5649. 4 Percent Treasury Notes of Series A-1966, Additional Issue, at 99.85, or 4 1/4 Percent Treasury Bonds of 1974, Additional Issue, at 100.25 Offered in Exchange for 4 5/8 Percent Treasury Notes of Series A-1965, or 3 7/8 Percent Treasury Notes of Series C-1965
- 5650. Offering of Two Series of Treasury Bills
- 5652. Preliminary Results of Treasury's Current Exchange Offering
- 5651. Notice of Proposed Rule Making
- 5653. Offering of Two Series of Treasury Bills
- [Interpretation of definition of member bank "officer" for Regulation F purposes]
- 5655. Subscription Figures for Treasury's Current Exchange Offering
- Invitation for Bids on $35,000,000 of 126-Day Tennessee Valley Authority Power Notes
- 5654. Deposits of June Tax Collections in Treasury Tax and Loan Accounts
- 5657. Offering of Two Series of Treasury Bills
- 5656. Offering of $1,000,000,000 of Special 365-Day Treasury Bills
- 5659. Offering of Two Series of Treasury Bills
- 5658. United States Savings Bonds, Series E
- 5660. Results of Bidding for 91-Day and 183-Day Treasury Bills to be Issued May 27, 1965
- 5661. Results of Treasury's One-Year Bill Offering
- 5662. Offering of Two Series of Treasury Bills
- 5663. Offering of Two Series of Treasury Bills
- 5665. Interpretations of Guidelines Nos. 1, 3, and 4 for Foreign Lending Activities of Commercial Banks
- 5664. [Appointment of Fred W. Piderit, Jr., as Vice President, effective July 1, 1965, to succeed Howard D. Crosse in the Bank Supervision and Relations function]
- 5666. List of "Developed Countries" Under Guidelines for Foreign Lending Activities of Commercial Banks
- 5667. Offering of Two Series of Treasury Bills
- 5668. Offering of $1,000,000,000 of Special 365-Day Treasury Bills
- 5669. Revised Guidelines on Foreign Lending and Investing for U.S. Nonbank Financial Institutions
- 5670. Offering of Two Series of Treasury Bills
- 5671. Results of Treasury's One-Year Bill Offering
- 5672. Offering of Two Series of Treasury Bills
- 5673. Results of Bidding for 91-Day and 182-Day Treasury Bills to be Issued July 1, 1965
- 5674. Offering of Two Series of Treasury Bills
- 5675. Offering of Two Series of Treasury Bills
- 5676. Later Closing Time for Receipt of Certain Deferred-Credit Cash Items
- Invitation for Bids on $45,000,000 of 120-Day Tennessee Valley Authority Power Notes
- 5678. Offering of $1,000,000,000 of Special 365-Day Treasury Bills
- 5677. Offering of Two Series of Treasury Bills
- 5680. Revision of Guideline No. 5 for Foreign Lending Activities of Commercial Banks
- 5679. Transactions in U.S. Securities Other than Savings Bonds
- 5683. Treasury Announces August 13 Refunding Terms
- 5682. Results of Treasury's One-Year Bill Offering
- 5681. Offering of Two Series of Treasury Bills
- [Letter from Alfred Hayes requesting reporting of holdings of foreign assets by members of New York Stock Exchange]
- 5684. 4 Percent Treasury Notes of Series C-1967, at 99.85 or 4 Percent Treasury Bonds of February 15, 1969, Additional Issue, at 99.45 Offered in Exchange for 3 7/8 Percent Treasury Notes of Series D-1965
- 5685. Offering of Two Series of Treasury Bills
- 5687. Federal Farm Loan Bonds
- 5686. Preliminary Results of Treasury's Current Exchange Offering
- 5688. Offering of Two Series of Treasury Bills
- 5689. Subscription Figures for Treasury's Current Exchange Offering
- 5691. Deposits of September Tax Collections in Treasury Tax and Loan Accounts
- 5690. Amendment to Regulation Q
- 5693. Offering of $1,000,000,000 of Special 365-Day Treasury Bills
- 5692. Offering of Two Series of Treasury Bills
- 5695. Results of Treasury's One-Year Bill Offering
- 5694. Offering of Two Series of Treasury Bills
- 5696. Offering of Two Series of Treasury Bills
- 5697. Results of Bidding for 91-Day and 182-Day Treasury Bills to be Issued September 2, 1965
- 5698. Offering of Two Series of Treasury Bills
- 5699. Offering of Two Series of Treasury Bills
- 5700. Offering of $1,000,000,000 of Special 365-Day Treasury Bills
- Invitation for Bids on $50,000,000 of 119-Day Tennessee Valley Authority Power Notes
- 5702. Treasury Offering of Tax Anticipation Bills
- 5701. Offering of Two Series of Treasury Bills
- 5703. Results of Treasury's One-Year Bill Offering
- 5704. Offering of Two Series of Treasury Bills
- 5705. Federal Farm Loan Bonds
- 5706. Amendments to Board of Governors' Rules of Organization and Procedure
- 5708. Results of Treasury's Offering of $4 Billion Tax Bills
- 5707. Offering of Two Series of Treasury Bills
- 5709. Offering of Two Series of Treasury Bills
- 5710. Nomination and Election of Directors
- 5711. Social Security Benefit Checks
- 5713. Offering of $1,000,000,000 of Special 365-Day Treasury Bills
- 5712. Offering of Two Series of Treasury Bills
- 5716. Treasury Announces November Refinancing Terms
- 5715. Results of Treasury's One-Year Bill Offering
- 5714. Offering of Two Series of Treasury Bills
- 5717. Cash Offering
- 5719. Results of Treasury's Current Cash Offering of 4 1/4% Notes
- 5718. Offering of Two Series of Treasury Bills
- [New member bank: First National Bank of Rochester, Rochester, N.Y.]
- [Mr. Hayes's printed letter announcing waiver of penalties on reserve deficiencies for current period due to power blackout]
- 5720. Offering of Two Series of Treasury Bills
- 5721. Offering of $2,500,000,000 of 210-Day Tax Anticipation Treasury Bills, Additional Amount
- 5722. Treasury's Current Cash Offering
- Invitation for Bids on $45,000,000 of 125-Day Tennessee Valley Authority Power Notes
- 5723. Deposits of December Tax Collections in Treasury Tax and Loan Accounts
- 5725. Offering of $1,000,000,000 of Special 365-Day Treasury Bills
- 5724. Offering of Two Series of Treasury Bills
- 5726. Results of Treasury's Offer of Additional $2.5 Billion in June Tax Bills
- [New member bank: Community National Bank and Trust Company of Richmond, Staten Island, N.Y.]
- 5727. Nomination and Election of Directors
- 5729. Offering of Two Series of Treasury Bills
- 5728. Results of Treasury's One-Year Bill Offering
- 5730. Member of Federal Advisory Council
- 5731. Offering of Two Series of Treasury Bills
- 5734. Notice Regarding Reserve Bank of Rhodesia
- 5733. Federal Farm Loan Bonds
- 5732. 1966 Guidelines for Banks and Nonbank Financial Institutions Under the President's Balance of Payments Program
- 5735. Increases in Discount Rates of this Bank and Federal Reserve Bank of Chicago
- 5737. Federal Farm Loan Bonds
- 5736. Operating Circular No. 13, Discount Rates
- Interpretation of Regulation F
- 5738. 1966 Program of U.S. Department of Commerce for Business Concerns Under the President's Balance of Payments Program
- 5742. Payment of Interest on Time and Savings Deposits
- 5741. Results of Election of Directors
- 5740. Offering of Two Series of Treasury Bills
- 5739. December 24, 1965--a Bank Holiday in New Jersey
- 5743. Offering of Two Series of Treasury Bills
- [Mr. Hayes's Letter Transmitting Comptroller of the Currency Regulation Regarding National Bank Loans Secured by Direct Obligations of the United States]
- 5744. Results of Bidding for 91-Day and 182-Day Treasury Bills to be Issued December 16, 1965
- [Inclusion in Nonbank Financial Institutions Program of U.S. Branches of Foreign Insurance Companies]
- 5745. Offering of $1,000,000,000 of Special 365-Day Treasury Bills
- 5746. Offering of Two Series of Treasury Bills
- 5748. Offering of $1,000,000,000 of 168-Day Tax Anticipation Treasury Bills, Additional Amount
- 5747. Treasury Announces Financing Plans
- 5749. Results of Treasury's One-year Bill Offering
- 5751. Offering of Two Series of Treasury Bills
- 5750. Appointment of Directors
- 5752. Results of Treasury's Offer of Additional $1 Billion in June Tax Bills
- Federal Reserve Bank of New York Circulars for the Year 1966 on Certain Operations and Activities Including Those as Fiscal Agent of the United States
- New York City Transit Strike Causing Delays in Collections
- 5753. New York City Transit Strike Causing Delays in Processing Currency and Coin Transactions
- Regulation F
- 5755. Treasury Announces $1.5 Billion New Cash Borrowing
- 5754. Offering of Two Series of Treasury Bills
- 5756. Cash Offering
- 5757. Fifty-First Annual Statement
- 5759. Results of Treasury's Current Cash Offering of 4 3/4% Certificates
- 5758. Offering of Two Series of Treasury Bills
- Invitation for Bids on $50,000,000 of 119-Day Tennessee Valley Authority Power Notes
- 5760. Handling of Food Stamp Coupons by Commercial Banks
- 5763. Offering of $1,000,000,000 of Special 365-Day Treasury Bills
- 5762. Treasury's Current Cash Offering
- 5761. Offering of Two Series of Treasury Bills
- 5763. Notice of Proposed Rule Making
- [New member bank: Republic National Bank of New York, New York, N.Y.]
- 5768. Treasury Announces $28.8 Billion Refunding
- 5767. Misuse of Check forms by Drawers
- 5766. Results of Treasury's One-Year Bill Offering
- 5765. Offering of Two Series of Treasury Bills
- 5769. Refunding of Treasury Notes and Bonds Maturing February 15-August 15, 1966
- 5770. Interpretation of Regulation A
- Collections Delayed by Storm Conditions
- 5771. Offering of Two Series of Treasury Bills
- 5773. Preliminary Results of Treasury Refunding
- 5772. Federal Farm Loan Bonds
- 5774. Offering of Two Series of Treasury Bills
- 5778. Offering of $1,000,000,000 of Special 365-Day Treasury Bills
- 5777. Subscription Figures for Current Refunding
- 5776. Deposits of Tax Collections in Treasury Tax and Loan Accounts During March 15-31 and April 15-May 6
- 5775. Offering of Two Series of Treasury Bills
- 5779. New Savings Bond Interest Rate
- 5780. Relationships with Dealers in Securities Under Section 32 of the Banking Act of 1933
- 5781. Offering of Two Series of Treasury Bills
- 5782. Results of Treasury's One-Year Bill Offering
- Directory of New Jersey Banks
- Historical Directory of the Banks of the State of New York
- 5783. Offering of Two Series of Treasury Bills
- 5784. Offering of Two Series of Treasury Bills
- 5785. Termination of Practices Adopted to Relieve Coin Shortage
- 5786. Offering of Two Series of Treasury Bills
- 5787. Offering of $1,000,000,000 of Special 365-Day Treasury Bills
- Invitation for Bids on $50,000,000 of 119-Day Tennessee Valley Authority Power Notes
- 5788. Offering of Two Series of Treasury Bills
- 5789. Commodity Credit Corporation to Offer $500 Million of Special Series Certificates of Interest
- 5790. Invitation for Bids on $500,000,000 of 117-Day Commodity Credit Corporation Certificates of Interest
- 5791. Results of Treasury's One-Year Bill Offering
- 5792. Amendment to Board of Governors' Rules of Procedure
- 5793. Offering of Two Series of Treasury Bills
- Operating Ratios, Income and Dividends of Second District Member Banks, 1965
- 5795. Notice of Proposed Rule Making
- 5794. Interpretation by Board of Governors
- 5796. President's Balance of Payments Program
- 5797. Offering of Two Series of Treasury Bills
- 5798. Offering of Two Series of Treasury Bills
- 5799. Federal Farm Loan Bonds
- [New member banks: The Fallkill Bank and Trust Company of Poughkeepsie, N.Y. and The First State Bank of Spring Valley, Spring Valley, N.Y]
- 5801. Offering of $1,000,000,000 of Special 365-Day Treasury Bills
- 5800. Offering of Two Series of Treasury Bills
- 5805. Treasury Announces $9.3 Billion May Refunding
- 5804. Results of Treasury's One-Year Bill Offering
- 5803. New Form of Postal Money Order
- 5802. Offering of Two Series of Treasury Bills
- 5806. 4 7/8 Percent Treasury Notes of Series F-1967, at 99.85 Offered in Exchange for 4 Percent Treasury Notes of Series D-1966 or 3 3/4 Percent Treasury Bonds of 1966
- 5807. Relationships with Dealers in Securities Under Section 32 of the Banking Act of 1933
- [New member bank: The Atlantic National Bank, Stamford, Connecticut]
- [Currently effective list of our operating circulars and the Board's regulations]
- 5808. Offering of Two Series of Treasury Bills
- 5809. Preliminary Results of Treasury's Current Exchange Offering
- [Revisions of Treasury Department circulars Nos. 653 and 905]
- 5810. Offering of Two Series of Treasury Bills
- 5812. Subscription Figures for Treasury's Current Exchange Offering
- Invitation for Bids on $50,000,000 of 126-Day Tennessee Valley Authority Power Notes
- 5811. Deposits of June Tax Collections in Treasury Tax and Loan Accounts
- 5814. Offering of $1,000,000,000 of Special 365-Day Treasury Bills
- 5813. Offering of Two Series of Treasury Bills
- 5815. New Rules for Deposits of Certain Employment Taxes on Wages Paid On or After June 1, 1966
- 5816. Offering of Two Series of Treasury Bills
- 5817. Results of Bidding for 91-Day and 183-Day Treasury Bills to be Issued May 26, 1966
- 5818. Results of Treasury's One-Year Bill Offering
- 5819. Interpretation of Regulation D by Board of Governors
- 5820. Offering of Two Series of Treasury Bills
- 5821. Offering of Two Series of Treasury Bills
- 5822. Offering of Two Series of Treasury Bills
- 5823. Offering of $1,000,000,000 of Special 365-Day Treasury Bills
- Invitation for Bids on $40,000,000 of 119-Day Tennessee Valley Authority Power Notes
- 5824. Increase in Annual Limitation on Holdings of Series E and H Savings Bonds
- 5825. Offering of Two Series of Treasury Bills
- 5826. Results of Treasury's One-Year Bill Offering
- 5828. Reserve Requirements Increased on Certain Time Deposits
- 5827. Offering of Two Series of Treasury Bills
- 5830. Foreign Funds Control Regulations
- 5829. Results of Bidding for 91-Day and 182-Day Treasury Bills to be Issued June 30, 1966
- 5831. Federal Farm Loan Bonds
- 5832. Offering of Two Series of Treasury Bills
- Airline Strike to Cause Delays in Collections
- 5833. Offering of Two Series of Treasury Bills
- 5834. Lower Maximum Rates of Interest Under Regulation Q on New Multiple Maturity Time Deposits Effective July 20, 1966
- Invitation for Bids on $50,000,000 of 120-Day Tennessee Valley Authority Power Notes
- Holding Company Affiliates - Voting Permits
- 5837. Offering of $1,000,000,000 of Special 365-Day Treasury Bills
- 5836. Regulations Governing United States Savings Bonds
- 5835. Offering of Two Series of Treasury Bills
- 5838. Interpretations Regarding Maximum Interest Rates on Multiple Maturity Time Deposits Under Regulation Q
- 5841. Commodity Credit Corporation to Offer New Certificates of Interest to Holders of Certificates Maturing August 1, 1966
- 5840. Interpretations of Regulation Q by Board of Governors
- 5839. State Member Bank Purchase of Stock of "Operations Subsidiaries"
- 5844. Treasury Announces $14.9 Billion Refunding
- 5843. Results of Treasury's One-Year Bill Offering
- 5842. Offering of Two Series of Treasury Bills
- 5845. Refunding of Treasury Certificates, Notes, and Bonds Maturing August 15 and November 15, 1966
- 5847. Relationships with Dealers in Securities Under Section 32 of the Banking Act of 1933
- 5846. Further Extension of Time for Receipt of Certain Deferred-Credit Cash Items
- 5848. Offering of Two Series of Treasury Bills
- 5850. Preliminary Results of Treasury Refunding
- 5849. Collection of Items Requiring Special Handling as Noncash Items
- 5851. Offering of Two Series of Treasury Bills
- 5853. Treasury Offering of Tax Anticipation Bills
- 5852. Payment of Interest on Time and Savings Deposits
- Counterfeit Federal Reserve Notes
- 5854. Subscription Figures for Current Refunding
- 5855. Deposits of September Tax Collections in Treasury Tax and Loan Accounts
- 5857. Reserve Requirements Increased from 5% to 6% on Certain Time Deposits
- 5856. Offering of Two Series of Treasury Bills
- 5858. Offering of $1,000,000,000 of Special 365-Day Treasury Bills
- 5859. Results of Treasury's Offering of $3 Billion Tax Anticipation Bills
- 5860. Offering of Two Series of Treasury Bills
- 5861. Results of Treasury's One-Year Bill Offering
- 5862. Offering of Two Series of Treasury Bills
- 5684. Prohibition Against Employment Discrimination Made Applicable to Treasury Tax and Loan Depositaries
- 5863. Results of Bidding for 91-Day and 182-Day Treasury Bills to be Issued September 1, 1966
- 5865. Statement on Discount Administration in Current Economic Environment
- 5866. Federal Farm Loan Bonds
- [New member bank: Suburban Bank of Livingston, National Association, Livingston, N.J.]
- 5867. Offering of Two Series of Treasury Bills
- 5868. Statement on the President's Program to Combat Inflation
- [Illegal remittances of funds to persons or organizations in North Viet-Nam or Viet Cong controlled areas]
- 5869. Offering of Two Series of Treasury Bills
- Invitation for Bids on $50,000,000 of 119-Day Tennessee Valley Authority Power Notes
- 5872. Maximum Rate of Interest Under Regulation Q on Time Deposits Under $100,000 Reduced from 5 1/2 Per Cent to 5 Per Cent Effective September 26, 1966
- 5871. Offering of 9-Month and 12-Month Treasury Bills
- 5870. Offering of Two Series of Treasury Bills
- 5874. Republic National Bank of Dallas Travelers Checks
- 5873. Notice of Proposed Rule Making
- 5876. Offering of Two Series of Treasury Bills
- 5875. Results of Treasury's 9-Month and 12-Month Bill Offerings
- 5877. Maximum Rate of Interest on Regulation V-Loans Increased from 6 to 7 1/2%
- 5878. Amendment to Regulation H
- 5880. Sales of $3.5 Billion of Tax Anticipation Treasury Bills
- 5879. Offering of Two Series of Treasury Bills
- 5881. United States Savings Bonds
- 5882. Offering of Two Series of Treasury Bills
- 5883. Results of Treasury's Offering of $3.5 Billion Tax Anticipation Bills
- Invitation for Bids on $50,000,000 of 119-Day Tennessee Valley Authority Power Notes
- 5885. Offering of Two Series of Treasury Bills
- 5884. Offering of Two Series of Treasury Bills
- 5886. Nomination and Election of Directors
- 5888. Offering of Two Series of Treasury Bills
- 5887. Results of Treasury's 9-Month and 12-Month Bill Offerings
- 5889. Treasury Announces November 15 Refunding Terms
- 5890. Cash Offering
- 5892. Offering of Two Series of Treasury Bills
- 5891. Payment of Interest on Time and Savings Deposits
- [Illegal remittances of funds to persons or organizations in North Viet-Nam or Viet Cong controlled areas]
- 5893. Treasury's Current Cash Offering
- 5894. Offering of Two Series of Treasury Bills
- 5895. Results of Bidding for 91-Day and 182-Day Treasury Bills to be Issued November 10, 1966
- 5896. Offering of $1,200,000,000 Strip of Outstanding Treasury Bills
- Invitation for Bids on $50,000,000 of 125-Day Tennessee Valley Authority Power Notes
- 5898. Offering of Two Series of Treasury Bills
- 5897. Deposits of December Tax Collections in Treasury Tax and Loan Accounts
- 5900. Offering of Two Series of Treasury Bills
- 5899. Treasury's Current Cash Offering
- 5901. Results of Offering of $1.2 Billion Strip of Treasury Bills
- 5902. Offering of Two Series of Treasury Bills
- 5903. Results of Treasury's 9-Month and 12-Month Bill Offerings
- 5905. Offering of Two Series of Treasury Bills
- 5906. Offering of $800,000,000 of 192-Day Tax Anticipation Treasury Bills, Additional Amount
- 5904. Nomination and Election of Directors
- 5907. Federal Farm Loan Bonds
- 5909. Member of Federal Advisory Council
- 5908. Loan Guarantees for Defense Production
- 5910. Social Security Benefit Checks
- 5912. Results of Treasury's Offer of Additional $800 Million in June Tax Bills
- 5911. Offering of Two Series of Treasury Bills
- 5913. Regulations D and Q Amended Revising Definitions of "Time Deposits" and "Savings Deposits"
- 5914. Offering of Two Series of Treasury Bills
- 5916. 1967 Guidelines for Banks and Nonbank Financial Institutions Under the President's Balance of Payments Program
- 5915. Results of Bidding for 91-Day and 182-Day Treasury Bills to be Issued December 15, 1966
- 5917. 1967 Program of U.S. Department of Commerce for Business Concerns Under the President's Balance of Payments Program
- 5918. Results of Election of Directors
- Invitation for Bids on $50,000,000 of 119-Day Tennessee Valley Authority Power Notes
- 5919. Offering of Two Series of Treasury Bills
- 5920. Offering of Two Series of Treasury Bills
- 5921. New Rules for Deposits of Certain Employment Taxes on Wages Paid On or After February 1, 1967
- 5922. Offering of Two Series of Treasury Bills
- 5924. September 1 Statement on Business Loans and Discount Accommodation
- 5923. Results of Bidding for 91-Day and 182-Day Treasury Bills to be Issued December 29, 1966
- 5925. Results of Treasury's 9-Month and 12-Month Bill Offerings
- 5926. Appointment of Directors
- Federal Reserve Bank of New York Circulars for the Year 1967 on Certain Operations and Activities Including Those as Fiscal Agent of the United States
- 5927. Offering of Two Series of Treasury Bills
- 5929. Fifty-Second Annual Statement
- 5928. Saturday Closing
- 5930. Offering of Two Series of Treasury Bills
- Invitation for Bids on $50,000,000 of 119-Day Tennessee Valley Authority Power Notes
- 5932. Offering of Two Series of Treasury Bills
- 5931. Offering of Two Series of Treasury Bills
- 5935. Treasury Announces February Refunding Terms
- 5934. Results of Treasury's 9-Month and 12-Month Bill Offerings
- 5933. Offering of Two Series of Treasury Bills
- 5936. Cash Offering
- Federal Reserve Bank of New York Directory
- 5939. Treasury's Current Cash Offering
- 5938. Offering of Two Series of Treasury Bills
- 5937. Revision of New York Head Office and Buffalo Branch Time Schedules
- 5940. Federal Farm Loan Bonds
- 5941. Offering of Two Series of Treasury Bills
- 5942. Results of Bidding for 91-Day and 182-Day Treasury Bills to be Issued February 9, 1967
- Counterfeit Federal Reserve Notes
- Invitation for Bids on $50,000,000 of 126-Day Tennessee Valley Authority Power Notes
- 5944. Offering of Two Series of Treasury Bills
- 5943. Offering of Two Series of Treasury Bills
- 5946. Treasury's Current Cash Offering
- 5945. Deposits of March Tax Collections in Treasury Tax and Loan Accounts
- 5948. Offering of Two Series of Treasury Bills
- 5947. Collection of Items Requiring Special Handling as Noncash Items
- 5950. Results of Treasury's 9-Month and 12-Month Bill Offerings
- 5949. Regulations D and Q Revised Effective January 1, 1967
- 5951. Reserve Requirements Reduced from 4% to 3% on Certain Time Deposits
- 5953. Offering of $2,700,000,000 of 101-Day Tax Anticipation Treasury Bills, Additional Amount
- 5952. Offering of Two Series of Treasury Bills
- 5955. Results of Treasury's Offer of Additional $2.7 Billion in June Tax Bills
- 5954. Offering of Two Series of Treasury Bills
- 5956. Deposit of Corporation Income Taxes with Depository Banks
- 5958. Foreign Activities of Member Banks and Edge Agreement Corporations
- 5957. Offering of Two Series of Treasury Bills
- 5959. No Special Deposits During April of Income Tax Checks of $10,000 or More
- Invitation for Bids on $50,000,000 of 119-Day Tennessee Valley Authority Power Notes
- 5960. United States Savings Notes
- 5963. Offering of Two Series of Treasury Bills
- 5962. United States Savings Bonds, Series E
- 5961. Offering of Two Series of Treasury Bills
- 6145. Results of Treasury's 9-Month and 12-Month Bill Offerings
- 5965. Results of Treasury's 9-Month and 12-Month Bill Offerings
- 5964. Offering of Two Series of Treasury Bills
- Operating Ratios, Income and Dividends of Second District Member Banks, 1966
- 5966. Offering of Two Series of Treasury Bills
- 5967. Discount Rates
- Regulation M and Amendments to Regulation K
- 5968. Offering of Two Series of Treasury Bills
- 5969. Notice of Proposed Rule Making
- Invitation for Bids on $50,000,000 of 126-Day Tennessee Valley Authority Power Notes
- 5970. Notice of Proposed Rule Making
- 5972. Offering of Two Series of Treasury Bills
- 5971. Offering of Two Series of Treasury Bills
- 5975. Treasury Announces $22.1 Billion Refunding
- 5974. Results of Treasury's 9-Month and 12-Month Bill Offerings
- 5973. Offering of Two Series of Treasury Bills
- 5976. Refunding of Treasury Notes, Bonds, and Certificates Maturing May 15, June 15, and August 15, 1967
- 5977. Offering of Two Series of Treasury Bills
- 5979. Preliminary Results of Treasury Refunding
- 5978. Federal Farm Loan Bonds
- 5980. Procedure for Special Deposits of Income Tax Checks Discontinued
- 5981. Offering of Two Series of Treasury Bills
- 5982. Collection of Items Requiring Special Handling as Noncash Items
- 5983. Subscription Figures for Current Refunding
- Invitation for Bids on $50,000,000 of 126-Day Tennessee Valley Authority Power Notes
- [Accounting and financial reporting practices]
- 5985. Offering of Two Series of Treasury Bills
- 5984. Offering of Two Series of Treasury Bills
- Amendment to Regulation F
- 5986. Offering of Two Series of Treasury Bills
- 5987. Results of Treasury's 9-Month and 12-Month Bill Offerings
- 5988. Offering of Two Series of Treasury Bills
- [Currently effective lists of our operating circulars and Board's regulations, and revised table of contents of operating circulars and regulations]
- 5989. Offering of Two Series of Treasury Bills
- 5990. Loans to Executive Officers of Member Banks
- 5991. Offering of Two Series of Treasury Bills
- 5992. Interpretation of Regulation U
- Invitation for Bids on $50,000,000 of 119-Day Tennessee Valley Authority Power Notes
- 5994. Offering of Two Series of Treasury Bills
- 5993. Offering of Two Series of Treasury Bills
- 5997. Treasury Borrowing Plan
- 5996.Results of Treasury's 9-Month and 12-Month Bill Offerings
- 5995. Offering of Two Series of Treasury Bills
- 5998. Offering of Two Series of Treasury Bills
- 6000. Results of Treasury's Offering of $4 Billion Tax Anticipation Bills
- 5999. Federal Farm Loan Bonds
- 6001. Board of Governors' New Regulation, Effective July 1, 1967 "Rules Regarding Delegation of Authority"
- 6002. Offering of Two Series of Treasury Bills
- Invitation for Bids on $50,000,000 of 126-Day Tennessee Valley Authority Power Notes
- 6004. Offering of Two Series of Treasury Bills
- 6003. Offering of Two Series of Treasury Bills
- 6005. Collection of Checks and Other Items
- 6008. Treasury Announces August Refunding Terms
- 6007. Results of Treasury's 9-Month and 12-Month Bill Offerings
- 6006. Offering of Two Series of Treasury Bills
- 6009. Collection of Items Requiring Special Handling as Noncash Items
- 6010. Cash Offering
- 6012. Treasury's Current Cash Offering
- [Public Law 90-44 amending Section 22(g) of the Federal Reserve Act]
- 6011. Offering of Two Series of Treasury Bills
- 6014. Federal Farm Loan Bonds
- 6013. Offering of Two Series of Treasury Bills
- 6015. Board of Governors' Rules Regarding Availability of Information
- 6016. Collection of Cash Items and Noncash Items
- 6018. Treasury's Current Cash Offering
- 6017. Offering of Two Series of Treasury Bills
- 6020. Treasury Announces $2.5 Billion New Cash Borrowing
- 6019. Offering of Two Series of Treasury Bills
- 6021. Cash Offering
- 6022. Proposed Amendment of Treasury Department Circular No. 300 Providing for Book-Entry Treasury Securities
- Invitation for Bids on $50,000,000 of 119-Day Tennessee Valley Authority Power Notes
- 6023. Board of Governors' Rules of Practice for Formal Hearings
- 6024. Offering of Two Series of Treasury Bills
- 6025. Results of Treasury's Cash Offering of 5 3/8% Notes
- 6026. Results of Treasury's 9-Month and 12-Month Bill Offerings
- 6027. Offering of Two Series of Treasury Bills
- 6028. Results of Bidding for 91-Day and 182-Day Treasury Bills to be Issued August 31, 1967
- 6029. Treasury's Current Cash Offering
- 6030. Transfers of Funds
- 6031. Offering of Two Series of Treasury Bills
- 6032. Notice of Proposed Rule Making
- 6033. Offering of Two Series of Treasury Bills
- Invitation for Bids on $50,000,000 of 119-Day Tennessee Valley Authority Power Notes
- 6035. Offering of Two Series of Treasury Bills
- 6034. Offering of Two Series of Treasury Bills
- 6036. Treasury Borrowing Plans
- 6038. Board of Governors' Revised Rules of Organization and Rules of Procedure
- 6037. Offering of $4.5 Billion of Tax Anticipation Treasury Bills
- 6040. Results of Treasury's 9-Month and 12-Month Bill Offerings
- 6039. Offering of Two Series of Treasury Bills
- 6041. Effective Date Postponed for Book-Entry Treasury Securities
- 6043. Results of Treasury's Offering of $4.5 Billion Tax Anticipation Bills
- 6042. Offering of Two Series of Treasury Bills
- 6044. Nomination and Election of Directors
- Notice of Proposed Rule Making
- 6045. Federal Farm Loan Bonds
- 6046. Offering of Two Series of Treasury Bills
- Invitation for Bids on $50,000,000 of 126-Day Tennessee Valley Authority Power Notes
- 6048. Offering of Two Series of Treasury Bills
- 6047. Offering of Two Series of Treasury Bills
- 6049. Proposed Changes in Margin Regulations
- 6052. Treasury Announces November Refunding Terms
- 6051. Offering of Two Series of Treasury Bills
- 6050. Results of Treasury's 9-Month and 12-Month Bill Offerings
- 6053. Cash Offering
- 6054. Texts of Proposed Changes in Margin Regulations
- 6056. Treasury's Current Cash Offering
- 6055. Offering of Two Series of Treasury Bills
- 6057. Offering of Two Series of Treasury Bills
- 6059. Offering of Two Series of Treasury Bills
- 6058. Nomination and Election of Directors
- 6061. 1968 Guidelines for Banks and Nonbank Financial Institutions Under the President's Balance of Payments Program
- 6060. Treasury's Current Cash Offering
- 6062. Offering of Two Series of Treasury Bills
- 6063. Discount Rates
- Invitation for Bids on $50,000,000 of 119-Day Tennessee Valley Authority Power Notes
- 6064. 1968 Program of U.S. Department of Commerce for Business Concerns Under the President's Balance of Payments Program
- 6065. Offering of Two Series of Treasury Bills
- 6066. Results of Treasury's 9-Month and 12-Month Bill Offerings
- 6067. Revisions of Treasury Department Circulars Nos. 21 and 92
- 6068. Offering of Two Series of Treasury Bills
- 6069. Reports of Transactions in Foreign Exchange, Transfers of Credit, and Export of Coin and Currency
- 6070. Results of Election of Directors
- 6072. Federal Farm Loan Bonds
- 6071. Offering of Two Series of Treasury Bills
- 6073. Member of Federal Advisory Council
- 6074. Offering of Two Series of Treasury Bills
- 6076. Results of Bidding for 91-Day and 182-Day Treasury Bills to be Issued December 14, 1967
- 6075. Book-Entry Procedure for Treasury Securities
- [Coin and currency practices]
- Invitation for Bids on $50,000,000 of 119-Day Tennessee Valley Authority Power Notes
- 6078. Offering of Two Series of Treasury Bills
- 6077. Offering of Two Series of Treasury Bills
- Securities of Member State Banks
- 6079. Deposit of Federal Taxes with Depositary Banks
- 6080. Offering of Two Series of Treasury Bills
- 6081. Amendment to Board of Governors' Rules Regarding Delegation of Authority
- 6082. Results of Bidding for 91-Day and 182-Day Treasury Bills to be Issued December 28, 1967
- 6084. Reserve Requirements Increased on Demand Deposits in Excess of $5 Million
- 6083. Results of Treasury's 9-Month and 12-Month Bill Offerings
- 6085. Appointment of Directors
- Federal Reserve Bank of New York Circulars for the Year 1968 on Certain Operations and Activities Including Those as Fiscal Agent of the United States
- Federal Reserve Bank of New York Telephone and Organization Directory
- 6086. Revised 1968 Guidelines for Banks and Nonbank Financial Institutions Under the President's Balance of Payments Program
- 6087. President's Balance of Payments Program
- 6089. Offering of $2,500,000,000 of 161-Day Tax Anticipation Treasury Bills, Additional Amount
- 6088. Offering of Two Series of Treasury Bills
- 6090. U.S. Department of Commerce Foreign Direct Investment Program
- 6092. Fifty-Third Annual Statement
- 6091. Safekeeping, Handling, and Shipment of Securities
- 6093. Federal Farm Loan Bonds
- 6095. Offering of Two Series of Treasury Bills
- 6094. Results of Treasury's Offer of Additional $2.5 Billion in June Tax Bills
- 6096. Exemption of Banks and Financial Institutions from U.S. Department of Commerce Foreign Direct Investment Program
- Invitation for Bids on $50,000,000 of 127-Day Tennessee Valley Authority Power Notes
- 6097. Offering of Two Series of Treasury Bills
- 6098. Offering of Two Series of Treasury Bills
- 6100. Amendment to Regulation Q
- 6099. Offering of Two Series of Treasury Bills
- 6102. Foreign Direct Investment Regulations of U.S. Department of Commerce
- 6101. Transactions in U.S. Securities Other than Savings Bonds
- 6103. Results of Treasury's 9-Month and 12-Month Bill Offerings
- 6106. Treasury Announces Refunding and Cash Borrowing Plans
- 6105. Offering of Two Series of Treasury Bills
- 6104. Handling of Food Stamp Coupons by Commercial Banks
- 6108. Changes in Margin Regulations
- 6107. Notice of Proposed Rule Making
- 6110. Errata in Circular No. 6108
- 6109. Refunding of Treasury Notes and Bonds Maturing February 15, August 15, and November 15, 1968
- 6111. Offering of Two Series of Treasury Bills
- 6112. Results of Bidding for 91-Day and 182-Day Treasury Bills to be Issued February 8, 1968
- 6113. Treasury Announces $4 Billion New Cash Borrowing
- 6116. Preliminary Results of Treasury Refunding
- 6115. Regulation U
- 6114. Cash Offering
- [New member bank: People's National Bank of Denville, Denville Township, New Jersey]
- 6117. Foreign Activities of Edge Act and Agreement Corporations
- 6118. Offering of Two Series of Treasury Bills
- 6119. Proposed Change in Regulation U
- 6122. Results of Treasury's Cash Offering of 5-5/8% Notes
- 6121. Regulation T
- 6120. Offering of Two Series of Treasury Bills
- 6123. Subscription Figures for Current Refunding
- 6124. New Regulation G
- 6127. Treasury's Current Cash Offering
- 6125. Treasury Tax and Loan Depositaries
- 6126. Offering of Two Series of Treasury Bills
- 6128. Results of Treasury's 9-Month and 12-Month Bill Offerings
- 6129. Offering of Two Series of Treasury Bills
- 6131. Federal Farm Loan Bonds
- 6130. Margin Regulations
- 6133. Loans to Executive Officers of Member Banks
- 6132. Foreign Direct Investment Regulations of U.S. Department of Commerce
- 6134. Offering of Two Series of Treasury Bills
- 6135. Technical Amendments to Regulations G, T, U
- 6136. Deposit of Federal Taxes without Prepuce and Preinscribed Federal Tax Deposit Card Form
- Operating Ratios, Income and Dividends of Second District member Banks, 1967
- 6138. Changes in 1968 Guidelines for Banks and Nonbank Financial Institutions Under the President's Balance of Payments Program
- 6137. Offering of Two Series of Treasury Bills
- 6139. Margin Regulations
- Invitation for Bids on $50,000,000 of 119-Day Tennessee Valley Authority Power Notes
- [Pamphlet "Criminal Assaults on Banks"]
- 6141. Offering of Two Series of Treasury Bills
- 6140. Offering of Two Series of Treasury Bills
- 6142. Treasury Amends Gold Regulation
- 6143. Bank Holding Companies
- 6144. Offering of Two Series of Treasury Bills
- 6146. Margin Regulations
- 6147. Offering of Two Series of Treasury Bills
- 6149. Regulation U
- 6148. Offering of Two Series of Treasury Bills
- 6150. Margin Regulations
- Invitation for Bids on $50,000,000 of 126-Day Tennessee Valley Authority Power Notes
- 6151. Offering of Two Series of Treasury Bills
- 6152. Offering of Two Series of Treasury Bills
- 6153. Increases in Discount Rates of this Bank and Federal Reserve Banks of Philadelphia and Minneapolis
- 6154. Operating Circular No. 13, Discount Rates
- 6156. Results of Treasury's 9-Month and 12-Month Bill Offerings
- 6155. Offering of Two Series of Treasury Bills
- Automatic Charge Plan
- 6157. Amendment to Regulation D
- 6159. Treasury Announces $8 Billion Refunding and $3 Billion New Cash Borrowing
- 6158. Offering of Two Series of Treasury Bills
- 6161. Federal Farm Loan Bonds
- 6160. Exchange Offering for May 15, 1968 Maturities and Cash Offering
- 6162. Margin Regulations
- 6163. Offering of Two Series of Treasury Bills
- 6165. Regulation U
- 6164. Payment of Interest on Time and Savings Deposits
- 6166. Preliminary Results of Treasury's Current Exchange and Cash Offerings
- 6167. Offering of Two Series of Treasury Bills
- 6170. Subscription and Allotment Figures for Treasury's Current Exchange and Cash Offerings
- 6169. Offering of Two Series of Treasury Bills
- 6168. Margin Regulations
- Invitation for Bids on $75,000,000 of 118-Day Tennessee Valley Authority Power Notes
- 6171. Offering of Two Series of Treasury Bills
- 6172. Results of Treasury's 9-Month and 12-Month Bill Offerings
- 6173. Offering of Two Series of Treasury Bills
- 6174. Federal Farm Loan Bonds
- 6175. Offering of Two Series of Treasury Bills
- 6176. Interpretation of Regulation Q by Board of Governors
- 6177. Margin Requirements Increased
- 6178. Offering of Two Series of Treasury Bills
- 6179. Change in Buffalo Branch's Telephone Number
- Invitation for Bids on $75,000,000 of 126-Day Tennessee Valley Authority Power Notes
- 6181. Offering of Two Series of Treasury Bills
- 6180. Offering of Two Series of Treasury Bills
- 6184. Treasury Borrowing Plans
- 6183. Offering of Two Series of Treasury Bills
- 6182. Results of Treasury's 9-Month and 12-Month Bill Offerings
- Bank Credit-Card and Check-Credit Plans, A Federal Reserve System Report
- 6185. Deposit of Federal Taxes with Depositary Banks
- 6187. Results of Treasury's Offering of $4.0 Billion Tax Anticipation Bills
- 6186. Offering of Two Series of Treasury Bills
- 6188. Offering of Two Series of Treasury Bills
- [Leaflet "Counterfeiting and Forgery"]
- Invitation for Bids on $75,000,000 of 127-Day Tennessee Valley Authority Power Notes
- 6189. Offering of Two Series of Treasury Bills
- 6190. Offering of Two Series of Treasury Bills
- Reappraisal of the Federal Reserve Discount Mechanism
- 6191. Offering of Two Series of Treasury Bills
- 6192. Results of Treasury's 9-Month and 12-Month Bill Offerings
- 6194. Treasury Announces August Financing
- 6193. Offering of Two Series of Treasury Bills
- 6195. System Study of Bank Credit-Card and Check-Credit Plans
- 6197. Federal Farm Loan Bonds
- 6196. Cash Offering
- Improper Recording of Certain Bond Transactions
- 6199. Results of Treasury's Cash Offering of 5-5/8% Notes
- 6198. Offering of Two Series of Treasury Bills
- 6201. Interpretation by Board of Governors
- 6200. Offering of Two Series of Treasury Bills
- 6202. Treasury's Current Cash Offering
- 6203. Amendments to Regulation G
- Invitation for Bids on $75,000,000 of 119-Day Tennessee Valley Authority Power Notes
- 6204. Offering of Two Series of Treasury Bills
- 6205. Offering of Two Series of Treasury Bills
- Securities of Member State Banks
- Proposals for Revision of Bank Condition Reports and Annual Statements of Income and Dividends
- 6206. Offering of Two Series of Treasury Bills
- 6207. Results of Bidding for 92-Day and 182-Day Treasury Bills to be Issued August 29, 1968
- 6208. Results of Treasury's 9-Month and 12-Month Bill Offerings
- 6209. Amendments to Treasury Department Circulars on Offering of Series E and H Savings Bonds
- 6210. Interpretation of Regulation D by Board of Governors
- 6211. Offering of Two Series of Treasury Bills
- 6212. Offering of Two Series of Treasury Bills
- Invitation for Bids on $75,000,000 of 126-Day Tennessee Valley Authority Power Notes
- 6213. Reserves of Member Banks
- 6215. Offering of Two Series of Treasury Bills
- 6214. Offering of Two Series of Treasury Bills
- 6216. Interpretations by Board of Governors
- 6217. United States Savings Bonds, Series E
- 6219. Results of Treasury's 9-Month and 12-Month Bill Offerings
- 6218. Offering of Two Series of Treasury Bills
- 6220. Payment of Interest on Certain Foreign Time Deposits
- 6221. Notice of Proposed Rule Making
- 6222. Offering of Two Series of Treasury Bills
- 6223. Federal Farm Loan Bonds
- 6224. Nomination and Election of Directors
- 6225. Offering of Two Series of Treasury Bills
- 6226. Offering of $3,000,000,000 of 242-Day Tax Anticipation Treasury Bills
- 6227. Amendment of Regulation Q
- 6228. Proposed Regulation Z to Implement the Truth in Lending Act
- 6229. Offering of Two Series of Treasury Bills
- 6230. Offering of Two Series of Treasury Bills
- 6232. Results of Treasury's Offer of $3.0 Billion of June Tax Bills
- 6231. Par Clearance of Checks Drawn on All Banks in Minnesota, Effective November 1
- Relocation of Savings Bond Department to 4 Gold Street, New York, N.Y.
- Invitation for Bids on $65,000,000 of 119-Day Tennessee Valley Authority Power Notes
- 6234. Treasury Announces $11.9 Billion Refunding of November 15 and December 15 Maturities
- 6233. Offering of Two Series of Treasury Bills
- 6235. Payment of Interest on Time and Savings Deposits
- 6237. Results of Treasury's 9-Month and 12-Month Bill Offerings
- 6236. Refunding of Treasury Notes and Bonds Maturing November 15 and December 15, 1968
- 6238. Offering of Two Series of Treasury Bills
- 6239. Preliminary Results of Current Exchange Offering
- 6240. Offering of Two Series of Treasury Bills
- 6241. Results of Bidding for 91-Day and 182-Day Treasury Bills to be Issued November 7, 1968
- 6242. Paying Agents for Savings Bonds Authorized to Redeem Savings Notes, Effective November 1
- Notice of Proposed Rule Making
- 6243. Offering of Two Series of Treasury Bills
- 6244. Offering of Two Series of Treasury Bills
- Invitation for Bids on $85,000,000 of 118-Day Tennessee Valley Authority Power Notes
- 6248. Offering of $2,000,000,000 of 203-Day Tax Anticipation Treasury Bills, Additional Amount
- [New member bank: Madison State Bank, Madison Township, New Jersey]
- 6247. Collateral for Advances to Member Banks
- 6246. Nomination and Election of Directors
- 6245. Subscription Figures for Treasury's Current Exchange Offering
- 6249. Offering of Two Series of Treasury Bills
- 6250. Results of Treasury's 9-Month and 12-Month Bill Offerings
- 6252. Results of Treasury's Offer of Additional $2 Billion in June Tax Bills
- 6251. Offering of Two Series of Treasury Bills
- [Change in format of government checks]
- 6253. Offering of Two Series of Treasury Bills
- 6254. Results of Election of Directors
- 6255. Federal Farm Loan Bonds
- 6256. Offering of Two Series of Treasury Bills
- 6257. Member of Federal Advisory Council
- 6258. Proposed Amendments to Margin Regulations G and U
- 6260. Offering of Two Series of Treasury Bills
- Invitation for Bids on $100,000,000 of 119-Day Tennessee Valley Authority Power Notes
- 6259. Offering of Two Series of Treasury Bills
- 6262. Discount Rates
- 6261. Results of Bidding for 91-Day and 182-Day Treasury Bills to be Issued December 19, 1968
- 6264. Offering of Two Series of Treasury Bills
- 6263. Revised Guidelines for Banks and Nonbank Financial Institutions Under the President's Balance of Payments Program
- 6265. Results of Treasury's 9-Month and 12-Month Bill Offerings
- 6266. Appointment of Directors
- 6267. Par Clearance of Checks Drawn on All Banks in Florida, Effective January 1, 1969
- 6268. Offering of Two Series of Treasury Bills
- Federal Reserve Bank of New York Circulars for the Year 1969 on Certain Operations and Activities Including Those as Fiscal Agent of the United States
- Federal Reserve Bank of New York Telephone and Organization Directory
- 6269. Federal Farm Loan Bonds
- 6272. Offering of $1,750,000,000 of 154-Day Tax Anticipation Treasury Bills, Additional Amount
- 6271. Interpretation by Board of Governors
- 6270. Offering of Two Series of Treasury Bills
- 6273. Amendment to Regulation K
- New Regulation P to Implement the Bank Protection Act of 1968
- 6274. Time Extended to February 14 for Comments on Proposed Amendments to Margin Regulations G and U Relating to "Equity Funding" Programs
- 6275. Fifty-Fourth Annual Statement
- 6277. Results of Treasury's Offer of Additional $1 3/4 Billion of June Tax Bills
- 6276. Offering of Two Series of Treasury Bills
- Invitation for Bids on $90,000,00 of 119-Day Tennessee Valley Authority Power Notes
- 6279. Offering of Two Series of Treasury Bills
- 6278. Offering of Two Series of Treasury Bills
- 6280. Revised Interpretation of Regulation A
- 6284. Treasury Announces $14.5 Billion February Refunding
- 6283. Results of Treasury's 9-Month and 12-Month Bill Offerings
- 6282. Interest Rate Increased to 6.625 Percent on CCC Certificates of Interest
- 6281. Offering of Two Series of Treasury Bills
- 6285. Refunding of Treasury Notes and Bonds Maturing February 15, 1969
- 6286. Amendments to Board of Governors' Rules Regarding Delegation of Authority
- 6287. Offering of Two Series of Treasury Bills
- 6288. New Regulation Z - Truth in Lending
- 6289. Preliminary Results of Current Exchange Offering
- 6291. Proposed Amendments to Margin Regulations G, T, and U to Implement the "Over-the-Counter Margin Act"
- 6290. Offering of Two Series of Treasury Bills
- New Regulation P
- 6292. Offering of Two Series of Treasury Bills
- Invitation for Bids on $90,000,00 of 119-Day Tennessee Valley Authority Power Notes
- 6295. Proposed Amendment of Regulation U
- Proposed Amendment of Regulation G
- Proposed Amendment of Regulation T
- 6294. Subscription Figures for Current Exchange Offering
- 6293. Offering of Two Series of Treasury Bills
- Oral Presentation on the Board's Proposal to Bring Equity Funding Plans Under Margin Regulation
- 6296. Offering of $1,000,000,000 Strip of Monthly Bills
- 6298. Statement of Principles by the Board of Governors of the Federal Reserve System with Respect to Amendments to the Bank Holding Company Act
- 6297. Results of Treasury's 9-Month and 12-Month Bill Offerings
- 6300. Results of Offering of $1 Billion Strip of Treasury Bills
- 6299. Offering of Two Series of Treasury Bills
- 6301. Offering of Two Series of Treasury Bills
- 6302. Offering of Two Series of Treasury Bills
- 6303. Maximum Amounts of Deposits in Treasury Tax and Loan Accounts
- 1968 Operating Ratios, Income and Dividends of Second District Member Banks
- Invitation for Bids on $90,000,00 of 126-Day Tennessee Valley Authority Power Notes
- 6304. Treasury Bill Offering of $1.8 Billion
- 6307. Offering of $1,800,000,000 Strip of Weekly Bills
- Regulation Z - Truth in Lending
- 6306. Offering of Two Series of Treasury Bills
- 6305. Offering of Two Series of Treasury Bills
- Use of Certain Currency Protection Devices under Regulation P
- 6309. Results of Offering of $1.8 Billion Strip of Treasury Bills
- 6308. Offering of Two Series of Treasury Bills
- 6310. Results of Treasury's 9-Month and 12-Month Bill Offerings
- 6311. Offering of Two Series of Treasury Bills
- 6312. Publication of Reports of Condition
- 6314. Interpretations of Regulation Z
- 6313. Reserve Requirements Increased on Demand Deposits
- 6315. Revised 1969 Guidelines for Banks and Nonbank Financial Institutions Under the President's Balance of Payments Program
- 6316. Proposed Amendments to Regulation Q
- 6317. Offering of Two Series of Treasury Bills
- 6318. Regulation Z - Truth in Lending
- 6319. Collateral for Advances to Member Banks
- Invitation for Bids on $100,000,000 of 126-Day Tennessee Valley Authority Power Notes
- 6320. Offering of Two Series of Treasury Bills
- 6322. Offering of Two Series of Treasury Bills
- 6321. Problem of "Fails" in U.S. Government Securities Market
- Use of this Bank's Telephone and Organization Directory
- 6323. Offering of Two Series of Treasury Bills
- 6324. Results of Treasury's 9-Month and 12-Month Bill Offerings
- 6325. Proposed Expansion of Book-Entry Procedure for Treasury Securities
- 6326. Offering of Two Series of Treasury Bills
- 6327. Treasury Announces $6.8 Billion Refunding of May 15 and June 15 Maturities
- 6328. Margin Regulations
- Civil Rights Act of 1968
- 6329. Refunding of Treasury Notes and Bonds Maturing May 15 and June 15, 1969
- 6330. Offering of Two Series of Treasury Bills
- [New member banks: The Endicott National Bank, Endicott, N.Y., The Exchange National Bank of Olean, Olean, N.Y., and Metropolitan National Bank of Syracuse, Syracuse, N.Y.]
- 6331. Preliminary Results of Current Exchange Offering
- 6332. Interpretations of Regulation Z
- 6333. Offering of Two Series of Treasury Bills
- 6334. Interpretations of Regulation Z
- 6335. Proposed Amendment to Margin Regulation U
- Invitation for Bids on $100,000,000 of 119-Day Tennessee Valley Authority Power Notes
- 6338. Offering of Two Series of Treasury Bills
- 6336. Offering of Two Series of Treasury Bills
- 6337. Revised Subscription Figures for May 15 Exchange
- 6339. Interpretations of Regulation Z
- TVA Notes Issue Sold
- 6341. Results of Treasury's 9-Month and 12-Month Bill Offerings
- 6340. Offering of Two Series of Treasury Bills
- 6342. Notice of Proposed Rule Making
- 6344. Margin Regulations
- 6343. Commodity Credit Corporation to Offer $700 Million of Special Series Certificates of Interest
- 6346. Invitation for Bids on $700,000,000 of 39-Day Commodity Credit Corporation Certificates of Interest
- 6345. Offering of Two Series of Treasury Bills
- 6347. Amendments to Margin Regulations G, T, and U to Implement the "Over-the-Counter Margin Act"
- 6349. Offering of Two Series of Treasury Bills
- 6348. Interpretations of Regulation Z
- Interpretation of Regulation G
- Invitation for Bids on $90,000,000 of 126-Day Tennessee Valley Authority Power Notes
- 6352. Offering of Two Series of Treasury Bills
- [New member Bank: Elmwood State Bank, East Paterson, New Jersey]
- 6351. Amendments to Regulation Q
- Regulations G, T, and U, as Amended Effective July 8
- 6350. Offering of Two Series of Treasury Bills
- Interpretation of Regulations K and M
- 6353. Interpretations of Regulation Z
- Results of Bidding for TVA Power Notes
- Changes in this Bank's Telephone and Organization Directory
- 6355. Results of Treasury's 9-Month and 12-Month Bill Offerings
- 6354. Offering of Two Series of Treasury Bills
- 6358. Federal Farm Loan Bonds
- 6357. Proposed Amendments to Regulations D and Q
- 6356. Proposed Amendments to Regulations M and D
- 6359. Offering of Two Series of Treasury Bills
- 6360. Offering of Two Series of Tax Anticipation Treasury Bills
- List of OTC Margin Stocks
- 6361. Offering of Two Series of Treasury Bills
- 6362. Results of Treasury's Offer of $1 3/4 Billion of December Tax Bills
- 6364. Treasury Secretary Kennedy Proposes 5 Percent Rate on Savings Bonds
- 6363. Results of Treasury's Offer of $1 3/4 Billion of March Tax Bills
- 6365. Supplement II to Regulation Z
- 6366. Offering of Two Series of Treasury Bills
- 6369. Treasury Postpones Closing Time for Receipt of Tenders for Weekly Bill Offering
- 6368. Terms Used by Board of Governors in Reports on Competitive Factors in Proposed Mergers and their Definitions
- 6367. Offering of Two Series of Treasury Bills
- 6370. Collection of Cash Items
- Invitation for Bids on $90,000,000 of 120-Day Tennessee Valley Authority Power Notes
- 6371. Change in Classification of Member Banks for Purpose of Electing Directors
- 6372. Offering of Two Series of Treasury Bills
- 6373 Amendments to Regulations D and Q
- 6374. Results of Treasury's 9-Month and 12-Month Bill Offerings
- Results of Bidding for TVA Power Notes
- 6377. Treasury Announces August 15 Refunding Terms
- 6376. Offering of Two Series of Treasury Bills
- 6375. Printed Copies of Regulations G, T, and U, Revised Effective July 8, 1969
- 6379. Expansion of Book-Entry Procedure for Treasury Securities
- 6378. Refunding of Treasury Notes Maturing August 15, 1969
- 6380. Treasury Tax and Loan Depositaries
- Changes in List of OTC Margin Stocks
- 6381. Offering of Two Series of Treasury Bills
- List of Market-Makers of OTC Margin Stocks
- 6382. Preliminary Results of Current Exchange Offering
- 6384. Amendments to Regulations M and D
- 6383. Offering of Two Series of Treasury Bills
- 6386. Amendments to Regulations D and M
- 6385. Treasury Offers $2.1 Billion Strip of Weekly Bills
- 6388. Amendment to Regulation Z
- 6387. Subscription Figures for Current Refunding
- Invitation for Bids on $100,000,000 of 120-Day Tennessee Valley Authority Power Notes
- 6390. Amendments to Regulations D and Q
- 6389. Interpretations of Regulation Z
- 6392. Offering of Two Series of Treasury Bills
- 6391. Offering of Two Series of Treasury Bills
- 6393. Results of Offering of $2.1 Billion Strip of Treasury Bills
- 6395. Amendments to Regulations G and U
- 6394. Offering of Two Series of Treasury Bills
- [Collections delayed by storm conditions]
- Results of Bidding for TVA Power Notes
- 6396. Results of Bidding for 92-Day and 182-Day Treasury Bills to be Issued August 28, 1969
- 6397. Results of Treasury's 9-Month and 12-Month Bill Offerings
- 6398. Amendment to Regulation J
- 6399. Offering of Two Series of Treasury Bills
- Changes in List of OTC Margin Stocks
- 6400. Amendments to Beard of Governors' Rules Regarding Delegation of Authority
- 6401. Offering of Two Series of Treasury Bills
- Invitation for Bids on $90,000,000 of 126-Day Tennessee Valley Authority Power Notes
- 6404. Treasury Announces $8.9 Billion Refunding of October 1 and December 15 Maturities
- 6403. Offering of Two Series of Treasury Bills
- 6402. Offering of Two Series of Treasury Bills
- 6407. Revised Proposed Amendments to Regulations D and Q
- 6406. Interpretations of Regulation Z
- 6405. Refunding of Treasury Notes and Bonds Maturing October 1 and December 15, 1969
- 6408. Errata in Subscription Forms for Current Exchange Offering
- Results of Bidding for TVA Power Notes
- 6410. Results of Treasury's 9-Month and 12-Month Bill Offerings
- 6409. Offering of Two Series of Treasury Bills
- 6411. Preliminary Results of Current Exchange Offering
- 6412. Nomination of Directors
- 6413. Offering of Two Series of Treasury Bills
- 6414. Subscription Figures for Current Exchange Offering
- 6415. Offering of $2,000,000,000 of 190-Day Tax Anticipation Treasury Bills
- 6417. Par Clearance of Checks Drawn on All Banks in Missouri, Effective October 13, 1969
- 6416. Offering of Two Series of Treasury Bills
- 6418. Results of Bidding for 91-Day and 182-Day Treasury Bills to be Issued October 9, 1969
- 6419. Results of Treasury's Offer of $2.0 Billion of April Tax Bills
- Series J Savings Bonds Not Exchangeable for Series H Savings Bonds after October 31, 1969
- 6421. Offering of Two Series of Treasury Bills
- 6420. Revised Subscription Figures for October 1 Exchange
- 6422. Offering of $3,000,000,000 of 236-Day Anticipation Treasury Bills
- Invitation for Bids on $80,000,000 of 119-Day Tennessee Valley Authority Power Notes
- Changes in List of OTC Margin Stocks
- 6424. Offering of Two Series of Treasury Bills
- 6423. Offering of Two Series of Treasury Bills
- 6425. Results of Treasury's Offer of $3 Billion of June Tax Bills
- [New member bank: Niagara Frontier Bank of New York, Buffalo, New York]
- Results of Bidding for TVA Power Notes
- 6429. Notice of Proposed Rule Making
- 6428. Loan Guarantees for Defense Production
- 6427. Results of Treasury's 9-Month and 12-Month Bill Offerings
- Treasury Announces Continuation of $3 Billion Weekly Bill Auctions
- 6426. Offering of Two Series of Treasury Bills
- 6432. Obligations of Subsidiaries of Member Banks
- 6431. New York Clearing House Rules Change
- 6430. Offering of Two Series of Treasury Bills
- 6434. Regulation Z - Amendment and Interpretation
- 6433. Election of Directors
- 6436. Amendment to Regulation Q
- 6435. Offering of Two Series of Treasury Bills
- Notice of Proposed Rule Making
- 6437. Offering of Additional Amounts of April and June Tax Anticipation Treasury Bills
- Invitation for Bids on $90,000,000 of 118-Day Tennessee Valley Authority Power Notes
- 6438. Amendment to Regulation R, Effective January 1, 1960
- 6440. Offering of Two Series of Treasury Bills
- 6439. Offering of Two Series of Treasury Bills
- 6441. Results of Treasury's Offering of $2.5 Billion Tax Anticipation Bills
- Results of Bidding for TVA Power Notes
- 6442. Results of Election of Directors
- 6445. Regulations D and Q
- Revised Redemption Value Tables for December 1969 That Give Effect to Rate Increase on Series E Bonds
- 6444. Results of Treasury's 9-Month and 12-Month Bill Offerings
- 6443. Offering of Two Series of Treasury Bills
- 6446. Member of Federal Advisory Council
- 6447. Offering of Two Series of Treasury Bills
- New Postal Money Orders
- 6448. Offering of Two Series of Treasury Bills
- 6449. Regional Check Clearing Center at Baltimore
- 6450. Offering of Two Series of Treasury Bills
- Invitation for Bids $100,000,000 of 125-Day Tennessee Valley Authority Power Notes
- 6452. Offering of Two Series of Treasury Bills
- 6451. Results of Bidding for 91-Day and 182-Day Treasury Bills to be Issued December 18, 1969
- 6453. Revised Guidelines for Banks and Nonbank Financial Institutions under the President's Balance of Payments Program
- 6455. Reports of Transactions in Foreign Exchange, Transfers of Credit, and Export of Coin and Currency
- 6454. Buffalo Branch Directors
- Amendments to Regulation F - Securities of Member State Banks
- 6456. Offering of Two Series of Treasury Bills
- Results of Bidding for TVA Power Notes
- 6457. Results of Treasury's 9-Month and 12-Month Bill Offerings
- 6458. Par Clearance of Checks Drawn on All Banks in Georgia, Effective January 1, 1970
- Letter of Transmittal
- 6461. Appointment of Directors
- 6460. Proposed Amendment to Regulation Z
- 6459. Regulation R, as Amended Effective January 1, 1970
- 6463. List of Banks Participating in Regional Check Clearing Center at Baltimore
- 6462. Offering of Two Series of Treasury Bills
- 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.