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FEDERAL

RESERVE

BOARD
R&S MR - 216
J u l y 5 , 1933

MONEY RATES--OPEN-MARKET RATES IN NEW YORK CITY
(Weekly Quotation)
1911. week ending;:
Open-market r a t e s
July 1
June 24
June 1
P r e v a i l i n g r a t e on:
Commercial paper (prime, 4 to 6
Bankers * acceptances (prime $0
days)
Time loans (stock exchange, 90
days)
Average r a t e on c a l l loans
(Stock exchange):

:

1912

July 2

l i - l *

1* - I L

2

2 i - 2|

3/8

3/s

3/8-1/2

3/4-7/8

i - 1

l - i

i- 1

ll

2.50
2.50

1.00
1.00

1.00
1.00

1.00
1.00

.06

.05

.15

•33

3-39

3-39

3.43

3-73

Average yield on:

U. S. Treasury notes and c e r t i f i c a t e s ( 3 to 6 months)
U. S. Treasury bonds (3 long-

RESERVE BANK CREDIT OUTSTANDING AND FACTORS IN CHANGES
(Averages of d a i l y f i g u r e s . In millions of d o l l a r s )
Week ending
Change from week ending:
July 1. 1911 June 24. 1911 July 2. 1912
B i l l s discounted.
B i l l s "bought
United States s e c u r i t i e s
Other reserve "bank c r e d i t . . . .

25
1,979

TOTAL RESERVE BANK CREDIT
Monetary gold s t o c k . . .
Treasury currency—adjusted..

4,318

Money in c i r c u l a t i o n
Member hank reserve balances.
Nonmemher deposits, etc
Unexpended c a p i t a l funds




196

- 31

10

+ 16
+ 29
T 1

2,210

+ 12

1,956

. 0
+ 64

5,702

-

346

T

2,273
163

9

+ 80

+ 8
3

-288

-

39

T

10

+ 188
lU9

399
156

1
294

113
0

FEDERAL

RESERVE

BOARD
R&S MR - 217

July 5, 1933

MONEY RATES—OPEN-MARKET RATES II? NEW YORK CITY
Open-market r a t e s

May

3/8

1912

April

June

1

li - 2

2

- 3i

21-3

1/2

i - li

7/8

CO

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 90
days)
Time loans (stock exchange 90
days)
..

1ST3

June

1 - 1

1 - li

1 - li

li

1.00
1.00

1.00

1.29

2.so

I/.07

.29

.45

1/.3U

3.47

3-55

3-78

Average r a t e on c a l l loans
(Stock exchange)1
Renewal
Average y i e l d on:
U. Sv Treasury notes 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 issues)
.....
T]

1.00

3-4O

1-37

2.50

Change of issue 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 . In m i l l i o n s of dollars^
Change from
June
May. l A l i
June. 1A12

B i l l s bought
United States s e c u r i t i e s . . .
Other reserve bank c r e d i t
TOTAL RESERVE BANK CREDIT.
Monetary gold stock

Nonmember deposits




250
12

- 89
- 73

- 245
- 32

13

T 3

T

l7k

+ 13

- 54
+ 361
t 156

-134

+ 213

:

+

1,933
2,208

4,317
1,943
5.742
2,211
165
350

+ 87

+ 86

2

+ 236

7

t 149
t 99
2