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FEDERAL

RESERVE

BOARD
R&S

MR - 226

August 3°1 1933
MONEY RATES—OPEN-MARKET RATES IN NEW YORK CITY
(Weekly Q u o t a t : o n j
191"; t week e n d i n g
Open-market r a t e s

P r e v a i l i n g r a t e on:
Commercial paper (prime, 4 to 6
months)
Bankers* a c c e p t a n c e s (prime 90
days)
Time loans ( s t o c k exchange, 90
days).
Average r a t e on c a l l l o a n s
( s t o c k exchange):
New.
Renewal
Average y i e l d on:
U . S . Treasury n o t e s and c e r t i f i c a t e s (3 to 6 m o n t h s ) , .
U. S, Treasury bonds (3 longterm i s s u e s )
.

- —

August 26

August 19

J u l y 29

1*

1-2"

i&

3 / 8 - 1/2

1/2

1

1 - ii

1.00
1.00

1.00
1.00

3.33

3.39

24

1/2
ii

19%
August 27

3/4
14

ii

1.00
1.00

2.00
2.00

.13

.06

3-39

3.56

RESERVE BAM CREDIT OUTSTANDING MID FACTORS IN CHAN&ES
(Averages
of
a iol.jy.y fa.i g u r eww
s . . In m i l l i o n s of d o l l a r s )
V«-v
vu. dVL«,
Change from week ending:
Week ending
Aw:. 26, 1933 Aug. 19. 1933 Aug. 27. 1932

B i l l s discounted

155
7
2,082
9

- 10
- 1
+ 28
- 1

- 277
- 29
+ 231
3

Treasury c u r r e n c y — a d j u s t e d

2,253
4,325
1,955

+ 16
+ 4
- 19

- 77
+ 265
+ l4l

Unexpended c a p i t a l f u n d s . .

5,607
2,402
177
347

- 15
+ 30
- 13
- 1

- 98
+ 280
+ 147
+
1

United States s e c u r i t i e s
Other r e s e r v e bank c r e d i t
TOTAL RESERVE BANK CREDIT