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§

G. 13

P

£

s

CD

aL
a
C2
Prevailing f a t e
(prime, it t o 6 mos.)
Commerclx topapSr
.
(prime, 90 days)
er
^peptance;
k M
T 5 B lo% S (Stock exchange, 90 days)
Rate on StaSc-Exehange c a l l l o a n s : 1 /
New
Renewal
Yields on U. S. Government s e c u r i t i e s 1 /
B i l l s , 3 months, new i s s u e s . . . . 7 .
B i l l s , 3 months, market y i e l d
Taxable i s s u e s , 9 t o 12 months . . . .
Taxable i s s u e s , 3 t o 5 y e a r s . . . . .
Bonds - l o n g - t e r m , t a x a b l e :
Old s e r i e s . . . . . . . . . . . . . .
New s e r i e s
. . .
P r i c e of long-term Treasury bonds j
Old s e r i e s . . . . . . . . . . . . . .
New s e r i e s * . . . . . . . . . . . . . .
A v e ^ ^ e y i e l d on corporate bonds (Moody's) 2 /
Aa.a
Baa
. . . . . . . . . . . . . . . . . . .
HiglL-grade municipal bonds 3 / . . . . . . . .
1/
<?/
3/
*

R&S MR 1005
July 8, 1951

BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM
OPEN-MARKET MONEY RATES IN NEST YORK CITY
June 5

June 12 June 19 June 26 July 3

Ii56
1.25

1.56
1.25

1.56
1.25

1.56
1.25

1.56
1.25

1.59
1.25

3.00

3.00

3.00
3.00

3.00

3.00
3.00

3.00

2.88
3.00

;7l4
;69
;81

2.88

3.00

;6l6
i6l
,78

1.86

1.81

2.58
2.74

2.56
2.70

108.84

98; 88

99ilU
109.70

2.91
3iU9
2.54

2.91
3.50
2.5b

2.88

2.88

3.00
;635




2.88

;646

2.88
3.00

;782

1,633
.63
.75
1.78

.62

.72
1.74

.65
.71
1.72

.76
.76
1.78

2.53

2.51

2.68

2.51
2.67

2.52
2.72

99.65
99.95
109.96 .110.03

99.91
110.23

99.68
109.39

2.90
3.49
2.42

2.90

2.88

3.49
2.38

2.68

2.90
3.49
2.52

Average of d a i l y f i g u r e s .
~
Average of d a i l y f i g u r e s : weekly f i g u r e s are f o r week ending F r i d a y .
S t a n d a r d and P o o r ' s Corporation: monthly and weekly d a t a are based on f i g u r e s f o r Wednesday.
3 1 / 4 p e r cent bond of 1978-83®

GOVERNMENT FINANCE SECTION, BOARD OF GOVERNORS

Monthly
May 1954

3.47
2.49