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FEDERAL*

RESERVE

BOARD
R&SMR-21]
June 1 3 , 1 9 3 3

cr
1—i

1

June 11

2 |- - 3

i

3/8

1.00
1.00:

7/8
r-lN*

1.00
1.00

1

i - l

i - %

rH

Average y i e l d on:
U. S, 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 l o n g term i s s u e s )

2 - 2^

2

OJ

Average r a t e on c a l l loans
(Stock exchange):
New.
Renewal

toN1

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 (priiue AO
days).
Time l o a n s ( s t o c k exchange, 90
days),..............,.........

OJ

MONEY RATES--OPEN--MARKET RATES IN NEW YORK CITY
(Weekly Quotation)
19 Hv week ending:
Open-market r a t e s
June 10
June 3
May 13

1.00
1.00

2.5O
2.50

.08

•15

.34

.20

3.41

3^3

3M

3.85

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 d o l l a r s )
Week ending
Change from week ending:
June 10. 19T% June 3. 1QT3 June 11. ITS2
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 r e s e r v e bank c r e d i t . . .

284
11
1,907
l4

-21

TOTAL RESERVE BANK CREDIT. . .
Monetary gold s t o c k . . . . . . . . .
Treasury c u r r e n c y — a d j u s t e d .

2,216
4,316

+3

1,980

+ 1
+15

+ 18
+327
+194

Money i n c i r c u l a t i o n
Member hank r e s e r v e balances
Nonmember d e p o s i t s , e t c .
Unexpended c a p i t a l f u n d s . . . .

5,784
2,199
178
351

-30
+34
+17
- 2

+311
+105
+118




- 9

?l

-221
- 25
+270
-

6

+ 5