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FEDERAL

RESERVE

BOARD
R&S MR - 26
J u l y 1, 1930

MONEY RATES—OPEN-MARKET RATES IB NEW YORK CITY
(Weekly q u o t a t i o n s )
Week ending —
Open-raarket r a t e s
June 28.1910 June 21.1930 May 31.1930 June 29.1929
P r e v a i l i n g r a t e on:
Commercial paper (prime, 4 to 6
months)
Bankers 1 acceptances (prime,
Time loans ( s t o c k exchan.ee,

2 l/g

17/8-2

2* - 2 |

Average r a t e on c a l l loans
( s t o c k exchange):
New
Renewal
..
Average y i e l d on:
U, S. Treasury notes and. c e r t i f i c a t e s (4 to 5 months) . . .
U# S. Treasury bonds (3 longterm i s s u e s )

6

34 - 3§

34 - 3f

54

2 3/8

2f - 3

3i

7i - S

2.02
2.20

2.56
2.50

3.00
3.00

9-79
9.40

1.8J

l.og*

2.04

4.70

3-37

3.37

3.40

3.69

•Change of i s s u e s on which y i e l d i s computed.
RESERVE BANK CREDIT OUTSTANDING AND FACTORS IN CHANGES
(Averages of d a i l y f i g u r e s i n m i l l i o n s of d o l l a r s )
Week ending
Change from week ending —
June 28. 1930
June 21. 1930
June 29. 1929
B i l l s discounted
B i l l s bought
United S t a t u s 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 BAM CREDIT . . . . . . . .
Treasury currency—-adjusted
Money in c i r c u l a t i o n
Member bank r e s e r v e balances . . . . . . .
Unexpended c a p i t a l funds




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