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F E D E R A L

R E S E R V E

B O A R D
R&S MR - 229
September 12, 1933

MONEY RATES—OPEN-MARKET RATES IN NEW YORK CITY
^
(Weekly Quotation.)
1911, week ending
Open-market rates
Sept., 2
Sept. 9
Auus:. 12

1932
Sept. 10

Prevailing rate on:
Commercial paper (prime, 4 to 6
Bankers* acceptances (prime 90
days) ..
Time loans (stock exchange, AO
days)

ii
1/4
1/2-3/4

1-81/4-3/8
3/4-1

i-4

2 - 2-4-

1/2

3/4

1 - if

ii - i*

Average rate on call loans
(stock exchange):
.75 •
.75

Renewal
Average yield on:
U. S. Treasury notes and certificates (3 to 6 months) ..........
U. S. Treasury "bonds (3 long-term

...
3.38

.25
.85

1.00
1.00

2.00
2.00

• . .

• I.

l/.OS

3.38

3.4o

3.55

1J Change of issue on which yield is computed.
RESERVE BANK CREDIT OUTSTANDING AMD FACTORS IN GHA1JGES
(Averages of daily fi aires. In millions of dollars)
Week ending

Sent. 9. 1913
Bills discounted
United States securities ..
Other reserve bank credit

Change from week ending:

Sept. 2. 1911

1U.7

6

...

7

2.150
11

+ 37
2

+

TOTAL RESERVE BANK CREDIT ..........

2,316

Monetary gold stock
Treasury currency—adjusted

4,329

1,945

• + 34
+ 1
+ 5

tyoney in circulation
Member bank reserve balances .......
Nonmember deposits, etc.
Unexpended capital funds

5,652

+ 40




2,4l0

181
347

+
+

5
6
1

Sept. 10. 1932
- 275
- 27
+ 30s
-

4

+

3

+ 222
+ 120
- 80
+ 276
+ l4S

+

1