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FEDERAL

RESERVE

BOARD
R&S MR - 25
June 24, 193O

MONEY RATES—OPEN-MARKET RATES IN NEW YORK CITY
u veeKiy quotations;
Week ending—
Open-market r a t e s
June 21.1910 June 14,1930 May 24.1930 June 22*1929
P r e v a i l i n g r a t e on;
Commercial paper (prime, 4 to 6
months)
Bankers * acceptances (prime,
90 days)
Time loans (stock exchange,
90 days) . .

3* - 35

3i-3f
2 1/8

2| - 3

21/8
3 - 34

3i

6

2 3/8

5i-

34-34

Average r a t e on c a l l loans
(stock exchange):
Renewal

....

Average y i e l d on:
' U. S, Treasury notes and c e r t i f i c a t e s (4 to 6 months) . . .
U. S. Treasury bonds (3 longterm i s s u e s )

g

2.56
2.50

2.81
2.90

3.00
3.00

7.00
7.00

1.98*

1,78

2.20

4.59*

3.37

3.37

3.41

3.70

•Change of issues on which y i e l d i s computed.
RESERVE BANK CREDIT OUTSTANDING AMD FACTORS IN CHANGES
(Averages of daily f i g u r e s in millions of d o l l a r s )
Week ending
Change from week ending —
June 21, 1910
June 14,, 1930 June 22. 1929
244
United S ta te s s e c u r i t i e s
Other reserve bank c r e d i t

127

596
43

+ 13
"7 21
+ 29
t 5

+ 36
+408
T 31

-697

TOTAL RESERVE BANK CREDIT
Monetary gold stock
Treasury currency—adjusted

1,010
4,529

1.774

+ 26
+ 3
8
-

-284
+216
T 4

Member bank reserve balances
Nonmember deposits, e t c .
Unexpended c a p i t a l funds

4,482
2,408
27
396

8
+ 26
+ 1
+ 2

-187
+100
T 4




+ 19