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G. 13

S

CD

BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM
OPEN-MARKET MONEY RATES IN NEW YORK CITY

2T
5
3
Prevailing rate om:
meicaal pape^ (prime, U to o mos.)
ker^acceptances (prime, 90 days)
Time loans (Stock exchange, 90 days)
Rate on Stock Exchange call loans: 1/
New
Renewal . . . . . . . . . . . . . . . .
Yields on U. S. Government securities 1/
Bills, 3 months, new issues . . . . 7 .
Bills, 3 months, market yield . . . . .
Taxable issues, 9 to 12 months . . . .
Taxable issues, 3 to 5 years
Bonds.- long-term, taxable:
Old series . . . . . . . . . . . . .
New series
. ...
Price of long-term Treasury bonds:
Old series . . . . . . . . . . . . . .
series* . . . . . . . . . . . . . .

t

Average yield on corporate bonds (Moody's) 2/
Aaa
Baa
.....
....... .
High-grade municipal bonds 3/ . . . . . . . .

R&S

Weekly "L954
Monthly
May 15 May 22 May 2 9 Apr. 1951* May 1951*

May 1

May 8

1.69
1.25
2.88

li69
1.25
2.88

1.56
1.25
2.88

1.56
1.25
2.88

1.56
1.25
2.88

1.77
1.25
2.88

li59
1.25
2.88

3.00
3.00

3.00
3.00

3i00
3.00

3.00
3.00

3.00
3.00

3.00
3.00

3.00
3.00

.886
;82
;78
1,66

i773
.75
.69
1.70

i825
.80
;7l*
1.77

.813
.79
.32
1.81

.718
.71
.79
1.86

1.011
.96
.90
1.71

*782
.76
i76
1.78

2.U6
2.69

2;i*8
2.69

2.52
2.71

2.51*
2.72

2.56
2.7k

2.1*7
2.70

2.52
2.72

100.1*5 100.32 99.80 99.1*6 99.15
109.86 109.86 109.58 109.25 108.89

100.36
109.65

99.68
109.39

2.89 c/ 2.85
3.1*8 ~
3.U7
2.1*7
2.53

2.88
3.1*7
2.1*9

2.87
3;1*7
2.1*8

2.87
3.1*7
2.1*7

2.87
3.2*7
2.1*7

2.87
3.U7
2.50

1/ Average of daily figures.
2/ Average of daily f JLgures: weekly figures are for week ending Friday.
j[/ Standard and Poor *Corporation: monthly and weekly data are based on figures for Wednesday.
F 3 l/h per cent bond of 1978-83.
c/ Corrected.
GOVSRNTASNT FINANCE SECTION^ BOARD OF GOVERNORS




MR IQOK

June 8, 1951*