View original document

The full text on this page is automatically extracted from the file linked above and may contain errors and inconsistencies.

F E D E R A L

R E S E R V E

B O A R D
E&S MR - 2l4
June 20, 1933

MONEY RATES—OPEN-MARKET RATES IN NEW YORK CITY
(We ekly Quo t at1on)
1931. week ending
Open-market rates
June 17
June 10
May 20
Prevailing rate on:
Commercial paper (prime, 4 to 6
months)
Bankers1 acceptances (prime 90
days).........................
Time loans (stock exchange, 90
days).
Average rate on call loans
(St ock e x c h a n g e ) : — — — —
New.
Renewal
Average yield on:
U . S . Treasury notes and certificates (3 to 6 months).......
U. S. Treasury "bonds (3 longterm issues)
T/

if - 2

2-2^

2^ - 2&

1/2

7/3

5/2

3/8

1-1

I

1912
June 18

1 — I4

1.00
1.00

1.00

1.00

1.00
1.00

2.50
2.50

l/.OS

.08

.21

i/.4o

3»4o

3.4i

3-46

3.76

Change of issue on which yield is computed.
RESERVE BANK CREDIT OUTSTANDING AND FACTORS IN CHANGES
(Averages of daily figures. In millions of dollars)
Week ending
Change from week ending:
June 17v 1913 June 10, 1933 June 18. 1932

Bills discounted.
Bills bought.
United States securities
Other reserve "bank credit

255
10
1,925
17

-29
- 1
+18
+ 3

-241
> ^7
+224
- 6

TOTAL RESERVE BANK CREDIT
Monetary gold stock
Treasury currency—adjusted

2,207
4,317
1,947

- 9
+ 1
-r33

- 70
+395
+147

Member bank reserve balances
Nonmember deposits, etc

5,742
2,215
l64
350

-42
+16
T14
- 1

+257
tl23
+ 90
t 2