Full text of G.13 Selected Interest Rates : June 20, 1933
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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