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E D E R A L

R E S E R V E

B O A R D
R&S MR - 6l
January 27, 1931

MONEY RATES-—OPM-MARKET RATES IN NEW YORK CITY
Open-market rates
Prevailing rate on:
Commercial paper (prime, 4 to G
months)
Bankers* acceptances (prime 90
days) .....
Time loans (stock exchange, $0
days) ..

1911
January 24 January 17

2#
c
. 4- 3

21-3
1 3/8-1 5/8

?=
—
<
-4 - 3

1 5/8
2 - 2i
3

if - 2

1910
December 27 Jannarv 2R

1 7/8
2—
£4 - 2&

4f ~ 5
U
4f

Average rate on call loans
(Stock exchange):
Renewal

1.50
1.50

1.50
1.50

2.04
2.00

4.06
4.50

1.13

1J2

1.51

3.55

3.30

3.31

3.35

3.53

Average yield on:

U. S. Treasury notes and certificates (4 to 6 months)
U . S . Treasury bonds (3 long-term
issues)

RESERVE BANK CREDIT OUTSTANDING AND FACTORS IN CHANGES
(Averages of daily figures in millions of dollars)
Week ending
Change from week ending—
Tan. 24, 1A11 Jan. 17. 19"U Jan. 25. 1Q10
Bills discounted
Bills bought
United States securities
Other reserve bank credit
TOTAL RESERVE BANK CREDIT ..
Monetary gold stock ,.
Treasury currency—adjusted
Money in circulation
Member bank reserve balances
Nonmember deposits, etc.
Unexpended capital funds ...




- 14
156

628
17
U! 631

- 50
- 16

-

9 ,

- 8§

+ 6

1,785

+

4,621
2,421

- 19

26

380

-202
-135
+151

- 4o
-226

+346

3

0

- 62

+ 35
+102

+

0
1