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7>,cL no4 pu-U/sL 'Be.cxuise. Ujere. /iok -i/ze/zs - htj^or/ccJ, olcJxl- &-UQ-L Ld^kic^ pukhsL. http://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Ok. /a_/ Fr/dli 7 ' hme 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 „ M oLxUm ‘ 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 JQ<oc^ 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