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http://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

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ADJUSTED MONETARY BASE
AVERAGES OF .QAi^Y FIGURES

,_SEASeNAtLT"ADJUSTED BY THIS BANK

BILLIONS OF DOLLARS
190 -------------1---------- 1-----

BILLIONS OF DOLLARS
-------- ---------- ---------- 190

BILLIONS
184.5
185.7
185.4
186.1

— FEB

188.0

2

16 30

13 27

10 24

10 24

7 21

5

19

2

16 30

14

2B

II

25

8 2c

6 20

3

17

I

15 29

12 26

1983
LATEST DATA PLOTTED WEEK ENDING: FEBRUARY 16,

1983

THE ADJUSTED MONETARY BASE CONSISTS OF: ( 1 1 RESERVE ACCOUNTS OF FINANCIAL INSTITUTIONS AT
FEDERAL RESERVE BANKS. (2) CURRENCY IN CIRCULATION (CURRENCY HELD BY THE PUBLIC AND IN THE
VAULTS OF ALL DEPOSITORY INSTITUTIONS), AND (3) AN ADJUSTMENT FOR RESERVE REQUIREMENT RATIO
CHANGES.
THE MAJOR SOURCE OF THE ADJUSTED MONETARY BASE IS FEDERAL RESERVE CREDIT. DATA
ARE COMPUTED BY THIS BANK.
A DETAILED DESCRIPTION OF THE ADJUSTED MONETARY BASE IS AVAIL­
ABLE FROM THIS BANK.

ADJUSTED MONETARY BASE
COMPOUNDED ANNUAL RATES OF CHANGE , AVERAGE OF FOUR WEEKS ENDING:
2/17/82

5/19/82

7/14/82

6.8
6.8
6.5
7. 1
6.8
7.6
8.2

7.0
6.5
7.3
6.9
8.0
8.6

8/18/82

9/15/82 10/13/82 11/17/82 12/15/82

TO THE AVERAGE
OF FOUR WEEKS
ENDING:
7/14/82
8/18/82
9/15/82
10/13/82
11/17/82
12/15/82
1/19/83
2/16/83


http://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

7.0
7. I

7.0
6.8
7.2
7.0
7.5
8.0

6.0
7.4
6.8

8. 1
8.9

7.6
6.8
8.4
9.3

7.6
9.4
10.3

9.2
10.5

13.0

PREPARED BY FEDERAL RESERVE BANK OF ST. LOUIS

YIELDS ON SELECTED SECURITIES
AVERAGES OF DAILY RATES ENDED FRIDAY

PERCENT

PERCENT

22.0

22.0

21.0

21.0

20.0

20.0
19.0

18.0

18.0
PRIME BANK
LOAN RATE

17.0

16.0

16.0

90 DAY
CD'S

15.0
14.0
13.0

CORPORATE
Aaa bonds

12.0

MUNICIPAL

BONDS**
11.0

1 1.0

10.0
COMMERCIAL
PAPER

9.0
8.0
7.0

4

18

1

15 29

12 26

12 26

9 23

7 21

4

1981

18

2

16 30

13 27

10 24

8 22

5

19

3

17 31

14 28 11

1982

1983

LATEST DATA PLOTTED ARE AVERAGES OF RATES AVAILABLE FOR THE WEEK ENDINGt FEBRUARY 18,

1983

DEC.

JAN.

FEB.

1
5
3
I

3
10
17
24
31
7
14
21
28
4
1 1
18 *
25

PRIME
COMMERC1AL
PAPER ***

90 DAY
CD'S

8.79
8.67
8.70
8.59
8.57
8.51
8. 18
8. 18
8.51
8.68
8.63

fer

8.68
8.58
8.59
8.54
8.58
8.36
8.03
8.09
8.35
8.55
8.49
8. *231

CORPORATE
Aaa BONDS

*

CORPORATE
Baa BONDS

11.83
11.79
11.82
11.91
11.82
11.77
11.70
11.70
11.94
12.06
12.11
12.08 „

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22=3 .


http://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

PRIME
BANKERS'
ACCEPTANCES

14. 16
14.11
14.15
14.20
14.11
14.04
13.92
13.84
13.96
14.01
14.02
r4r©613.97 *

\m

2/JL/

*0/23

8. 67
8. 50
8. 52
8. 43
8. 50
8. 32
8. 04
8. 03
8. 29
8. 49
8. 51
8.3&'7 *

231
232

.

gas

-1

lUb

Ht>Lidak^ —'

$ 33
23o

25

)N< ■
I-IS3

1
|3S3

1983

MUNICIPAL
BONDS **

10.23
10. 13
10.05
9.84
9.56
9.48
9.37
9.48
9.66
9.74
9.72
N.A.96S

0

SELECTED

INTEREST RATES

AVERAGES OF DAILY RATES ENDED FRIDAY

PERCENT

20.0

PERCENT
20.0

19.0

19.0

18.0

18.0
17.0
FEDERAL
FUNDS RATE

16.0

16.0
5-YEAR
TREASURY SECURITIES

15.0

15.0

14.0

14.0

13.0

13.0

12.0

12.0

DISCOUNT
RATE

I 1 .0

I 1 .0

10.0
9.0
8.0
3-MONTH
TREASURY BILL

7.0
6.0

4

18

1

15 29

12 26

12 26

9 23

7 21

4

1981

18

2

16 30 13 27

10 24

8 22

5

19

3 17 31

14 28 II

1982

1983

LATEST DATA PLOTTED ARE AVERAGES OF RATES AVAILABLE FOR THE WEEK ENDING: FEBRUARY 18,

1983
DEC.

JAN.

FEB.

i

3
10
17
24
31
7
14
21
28
4
1 1
18 *
25

,2/67
/

FEDERAL
FUNDS **
8.69
8.84
8.86
8.69
8.79
10.21
8.42
8.49
8.44
8.53
8.50
8.62

3-MONTH
TREASURY
BILL
8. 14
7.96
7.80
7.91
8.01
7.92
7.66
7.75
8.05
8.16
8.22
8.23 |U*
TW ‘


http://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

vn

J
•
*

S39

1-YEAR
TREASURY
BILL

"7

91 ^

5-YEAR
TREASURY
SECURITIES

1983

LONG-TERM
TREASURY
SECURITIES

8.51
8.25
8.21
8. 10
8.05
7.95
7.77
7.73
8. 14
8.23
8.35
8.39

8.53
8.36
8.15
8. 14
8. 1 1
8.02
7.82
7.96
8.19
8.34
8.4,1
8.383 *

10.31
10.26
10. 23
10.22
10.15
10.04
9.88
9.92
10.22
10.38
10.45
1 0.3-4, ^ «

10.69
10.59
10.64
10.62
10.52
10. 49
10. 49
10.60
10.88
11.01
11.04
10.9X/

Ml

*811

tooiTLJ

1 GUI’

MoITcLguli----- -

r„,

5
1
1

6-MONTH
TREASURY
BILL IK**

25

•

H oU-dLCiiH,
Sio*

100 /

IDS2-

/ ooo

i£>63

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0

BORROWINGS FROM FEDERAL RESERVE BANKS
AVERAGES OF DAILY FIGURES

BILLIONS OF DOLLARS
4.5 r----------- 1---------- 1----1983
JAN.

2

16 30

DEC
1981

BILLIONS OF DOLLARS
-------- ---------- --------=1 4.5

MILLIONS
12

13 27

JAN

10 24

FEB

10 24

7 21

5

MAR

APR

MAY

19

2

16 30 14 28 11

JUN

JUL
1982

LATEST DATA PLOTTED WEEK ENDING: FEBRUARY 16.

25

AUG

SEP

6 20

3

OCT

NOV

17

I

15 29 12 26

DEC

9 23

JAN
FEB
1983

983

BUSINESS LOANSv
(COMMERCIAL AND

INDUSTRIAL)

WEEKLY REPORTING LARGE COMMERCIAL BANKS 2/
SEASONALLY ADJUSTED BY THIS BANK

BILLIONS OF DOLLARS
Z_
-

BILLIONS OF DOLLARS

COMPOUNDED ANNUAL RATES
OF CHANGE, AVERAGE OF .
THE FOUR WEEKS ENDING
FEBRUARY 9, 1983 FROM
THE FOUR WEEKS ENDING:

Z DEC.
Z
-

NOV.
OCT.
SEP.
AUG.
MAY
Z FEB.

8,
10
6
8
I 1
12
10

1982

5.8

1982

-0.9

1982

MILLIONS
JAN.

5

FEB.

2

3

I

I I I I 1 I
2

16 30

13 27

JAN

10 24

10 24

7 21

5

19

2

16 30

14 28

II

25

8 22

6 20

FEB

15 29 12 26

9 23

JAN
FEB
1983

1982
LATEST DATA PLOTTED WEEK ENDING: FEBRUARY 9,

17

1983

1/ BUSINESS LOANS INCLUDE BANKERS' ACCEPTANCES AND COMMERCIAL PAPER.
2/ BANKS WITH DOMESTIC ASSETS OF *750 MILLION OR MORE

http://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

PREPARED BY FEDERAL RESERVE BANK OF ST. LOUIS