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MAY, 1927 FEDEKAL RESERVE BULLETIN 323 MONEY RATES IN NEW YORK CITY - t 1922 1923 T9.24. FEDERAL RESERVE BANK RATES DISCOUNT RATES LRates on all classes and maturities of eligible paper] 1925 Federal reserve bank Eate in effect on May 1 Boston New York Philadelphia __ Cleveland Richmond Atlanta Chicago.. St. Louis Minneapolis... Kansas City... Dallas San Francisco.. Date established Previous rate Nov. 10,1925.. Aug. 13, 1926— Nov. 20,1925.. Nov. 17,1925- Junel4,1924.. June 18,1924.. June 14,1924.. June 19,1924.. Oct. 15, 1924.. _. July 1, 1924... July 16, 1924... Nov. 23, 1925.. BUYING RATES ON ACCEPTANCES [Buying rates at the Federal Reserve Bank of New York] Maturity 1-15 days 16-30 days.._ 31-45 days--. 46-60 days... 81-90 days... 91-120 d a y s . . 121-180 d a y s . Rate in effect on May 1 Date established Sept. 1, 1926.. Aug. 23, 1926. .do_ ..... do do do Aug. 16, 1926. Previous rate NOTE—Rates on prime bankers' acceptances. Higher rates may be charged for other classes of bills. 44484—27- 1925 OPEN-MARKET 1927 RATES KATES IN NEW YORK CITY Prevailing rate on— Month or week Prime com- i merciai j paper, I 4-6 months 1926 January _ 4J£4J February 4J March i 4M-4J April _ , ' •""•' Prime bank- ers' accept- ances, 90 days May June July August. _. September. October... November December 1927 January February March __ April... 4 4 -4M Week ending— Apr. 2 Apr. 9 Apr. 16 Apr. 23 Apr. 30 VA-&A 3^-3^ 32 Average rate on— Call loans 1 4.33 4.85 4.55 4.06 3.81 4.15 4.27 4.52 5.02 4.75 4.56 5.16 4.32 4.03 4.13 4.18 4.40 4.15 4.44 4.10 4.00 4.79 4.68 4.72 4.29 4.05 4.2C 4.39 4.76 4,88 4.99 4.70 4.70 4.52 4.42 4.39 4.45 4.42 4.46 4.44 4.44 4.44 Average yield on— U.S. Treas- j ury I notes and certifi- cates, 3-6 months per cent Lib- erty bonds 3.49 ! 3.18 3 3.25 f 3.08 j 3.17 3 2.90 3.11 3.27 3 3.47 3.58 3.35 I 3 3.11 | 3.23 I 3.29 ! «3.21 ! 3.39 j 3.34 ; 3.25 I 3.31 a. 53! 3.49 ! 4.04 4.01 3.98 3.94 3.93 3.90 3.93 3.95 3.96 3.95 3.91 3.83 3.80 3.80 3.80 3.87 3.84 3.84 3.87 3.90 3.89 1 Stock exchange call loans; renewal rate. 3 Stock exchange time loans; weekly average of daily average rates on principal maturities. 3 Change of issues on which yield is computed. Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis May 1927

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  • MAY, 1927 FEDEKAL RESERVE BULLETIN 323

    MONEY RATES IN NEW YORK CITY

    - t

    1922 1923 T9.24.

    FEDERAL RESERVE BANK RATESDISCOUNT RATES

    LRates on all classes and maturities of eligible paper]

    1925

    Federal reserve bankEate ineffect onMay 1

    BostonNew YorkPhiladelphia __ClevelandRichmondAtlantaChicago..St. LouisMinneapolis...Kansas City.. .DallasSan Francisco..

    Date establishedPrevious

    rate

    Nov. 10,1925..Aug. 13, 1926—Nov. 20,1925..Nov. 17,1925-Junel4,1924..June 18,1924..June 14,1924..June 19,1924..Oct. 15, 1924.. _.July 1, 1924...July 16, 1924...Nov. 23, 1925..

    BUYING RATES ON ACCEPTANCES

    [Buying rates at the Federal Reserve Bank of New York]

    Maturity

    1-15 days16-30 days.._31-45 days--.46-60 days . . .81-90 days . . .91-120 days. .121-180 days.

    Rate ineffect onMay 1

    Date established

    Sept. 1, 1926..Aug. 23, 1926.

    .do_.....do

    dodo

    Aug. 16, 1926.

    Previousrate

    NOTE—Rates on prime bankers' acceptances. Higher rates may becharged for other classes of bills.

    44484—27-

    1925

    OPEN-MARKET

    1927

    RATESKATES IN NEW YORK CITY

    Prevailing rateon—

    Month or week Primecom-i merciaij paper,I 4-6months

    1926January _ 4J£4JFebruary 4JMarch i 4M-4JApril _ , ' • " " • '

    Primebank-ers'

    accept-ances,90 days

    MayJuneJulyAugust. _.

    September.October...NovemberDecember

    1927JanuaryFebruaryMarch __April...

    4

    4 -4M

    Week ending—Apr. 2Apr. 9Apr. 16Apr. 23Apr. 30

    VA-&A

    3^-3^

    32

    Average rateon—

    Callloans 1

    4.334.854.554.06

    3.814.154.274.52

    5.024.754.565.16

    4.324.034.134.18

    4.404.154.444.104.00

    4.794.684.724.29

    4.054.2C4.394.76

    4,884.994.704.70

    4.524.424.394.45

    4.424.464.444.444.44

    Average yieldon—

    U.S.Treas- j

    ury Inotesand

    certifi-cates,

    3-6months

    percentLib-erty

    bonds

    3.49 !3.18

    3 3 .25 f3.08 j

    3.173 2.90

    3.113.27

    3 3.473.583.35 I

    3 3.11 |

    3.23 I3.29 !«3.21 !3.39 j

    3.34 ;3.25 I3.31a. 53!3.49 !

    4.044.013.983.94

    3.933.903.933.95

    3.963.953.913.83

    3.803.803.803.87

    3.843.843.873.903.89

    1 Stock exchange call loans; renewal rate.3 Stock exchange time loans; weekly average of daily average rates on

    principal maturities.3 Change of issues on which yield is computed.

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

    May 1927

  • JUKE, 1927 PEDEEAL EESBKVE BTJLLETIN" 401

    MONEY RATES IN NEW YORK CITY

    3 -

    ! -

    1922 1923 192*+

    FEDERAL RESERVE BANK RATESDISCOUNT RATES

    [Rates on all classes and maturities of eligible paper]

    Federal reserve bankRate ineffect onJune 1

    BostonNew YorkPhiladelphia.ClevelandRichmondAtlantaChicagoSt. LouisMinneapolis.-Kansas City..DallasSan Francisco.

    Date established | P r ° ™ u s

    Nov. 10, 1925.Aug. 13, 1926 _Nov. 20, 1925.Nov. 17, 1925,June 14,1924.June 18,1924.June 14,1924.June 19, 1924.Oct. 15, 1924..July 1,1924. _.July 16, 1924 _Nov. 23, 1925.

    BUYING RATES ON ACCEPTANCES

    [Buying rates at the Federal Reserve Bank of New York]

    Maturity

    1-15 days16-30 days31-45 days46-60 days61-90 days91-120 days121-180 days . . .

    Rate ineffect onJune 1

    Date established

    Sept. 1,1926.,Aug. 23,1926.

    do . __.__.„ . - d o . . . . . . .. . . . d o . _-=_.......doAug. 16,1926

    Previousrate

    NOTE—Rates on prime bankers' acceptances. Higher rates may becharged for other classes of bills.

    1925 1926 1927

    OPEN-MARKET RATESRATES IN NEW YORK CITY

    Month or week

    1926January.. „._„-.February.......MarchApril „..„.MayJune ....July...August...-,.---.September...-.October....—.November.-...December

    1927JanuaryFebruaryMarchAprilMay...Week ending-

    May?May 14May 21May 28-...

    Ave rage rateon—

    Timeloans 2

    4.794.684.724.294.054.204.394.764.884.994.704.70

    4.524.424.394.454.40

    4.444.404.334.41

    3-6months

    Average yieldon—

    U.S.Treas-ury

    notesand

    certifi-

    3.493.18

    8 3.25E.088.17

    3 2.903.113.27

    *3.473.583.35

    8 3.11

    3.233.29

    a3.213.393.33

    3.453.343.303.25

    percentLib-erty

    bonds

    4.044.013.983.943.933.903.933.953.963.953.913.83

    3.803.803.803.87

    3.893.893.863.84

    1 Stock exchange call loans; renewal rate.8 Stock exchange time loans; weekly average of daily average rates on

    principal maturities.3 Change of issues on which yield is computed.

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

    June 1927

  • APBIL, 1928 FEDERAL RESERVE BULLETIN 247

    MONEY RATES IN NEW YORK CITY

    PERCENT CENT

    5

    3 - 3

    1923 192** 1925 1926

    FEDERAL RESERVE BANK RATESDISCOUNT RATES

    [Hates on all classes and maturities of eligible paper]

    Federal reserve bank

    BostonNew YorkPhiladelphiaClevelandRichmondAtlantaChicago .St. LouisMinneapolisKansas CityDallasSan Francisco

    Rate ineffect onApr. 1

    Date established

    Feb.Feb.Feb.Mar.Jan.Feb.Jan.Feb.Feb.Feb.Feb.Feb.

    8,1928...3, 1928...16, 1928.., 1, 1928..27, 1928...11, 1928.

    25, 1928...21, 1928..7, 1928.10, 1928..8, 1928...4, 1928...

    Previousrate

    BUYING RATES ON ACCEPTANCES

    [Buying rates at the Federal Reserve Bank of New York]

    Maturity

    1-15 days.. .16-30 days__.31-45 days..46-60 days..61-90 days..91-120 days..121-180 days

    Rate ineffect onApr. 1

    Date established

    li Mar. 30, 1928..-1 doI! do

    dodo

    ;i do_...do

    Previousrate

    NOTE.—Rates on prime bankers' acceptances. Higher rates may becharged for other classes of bills.

    1927 1928

    OPEN-MARKET RATESRATES IN NEW YORK CITY

    Month or week

    1927JanuaryFebruaryMarchAprilMayJuneJulyAugustSeptember—..OctoberNovemberDecember—

    1928JanuaryFebruary

    MarchWeek ending-

    Mar. 3_._.Mar. 10...Mar. 17...Mar. 24...Mar. 31..

    Prevailing rate o n - jAveragerate Averageyield

    3.603.683.483.473.443.473.443.483.453.433.303.34

    3.303.283.29

    » Stock exchange call loans; new and renewal rates.* Stock exchange 90-day time loans.1 3 issues—3si, 4, and ±V< per cent; yields calculated on basis of last

    redemption dates—1956,1954, and 1952.* Change of issues on which vield is com

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

    April 1928

  • M A T , 1928 FEDERAL RESERVE BULLETIN 313

    MONEY RATES IN NEW YORK CITY

    ,i —̂ Open Market# Acceptance Rate

    1 -

    1923 192** 1925 1926 1927 1928

    FEDERAL RESERVE BANK RATESDISCOUNT RATES

    [Rates on all classes and maturities of eligible papei]

    Federal reserve bank

    Boston „-New YorkPhiladelphiaCleveland „RichmondAtlanta. _Chicago.. . .St. Louis _.MinneapolisKansas CityDallas _„San Francisco

    Rate ineffect onMay 1

    Date established

    Apr. 20, 1928Feb. 3, 1928Feb: 16, 1928. . . . . .Mar. 1, 1928.Apr. 24, 1928Feb. 11, 1928Apr. 20. 1928

    H| Apr. 23, 19284H Apr. 25, 1928,

    Feb. 10, 1928Feb. 8, 1928Feb. 4, 1928

    Previousrate

    BUYING RATES ON ACCEPTANCES

    [Buying rates at the Federal Reserve Bank of New Yorkl

    Maturity

    1-15 days—16-30 days. .31-45 days. .46-60 days..61-90 days. .91-120 days.121-180 days

    Rate in [effect on Date establishedM a y l I

    Previousrate

    Apr. 13, 1928 Ido__.dodo _do

    Mar.30, 1928do _

    NOTE.—Rates on prime bankers' acceptances. Higher rates may becharged for other classes of bills.

    OPEN-MARKET RATESRATES IN NEW YORK CITY

    Prevailing rate o n - | Averagerate | Averageyield

    Month or week

    1927JanuaryFebruaryMarchAprilMayJuneJulyAugustSeptember.OctoberNovemberDecember

    1928JanuaryFebruaryMarchAprilWeek ending-

    Apr. 7 - . .Apr. 14.. .Apr. 2 1 . . .Apr. 28. . .

    3.303.313.333.34

    1 Stock exchange call loans; new and renewal rates.1 Stock exchange 90-day time loans.1 3 issues—334, 4, and AH per cent; yields calculated on basis of last

    redemption dates—1956, 1954, and 1952.4 Change of issues on which yield is computed.« Revised.

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

    May 1928

  • MAY, 1929 FEDERAL RESERVE BULLETIN 319

    PER CENT PER CENT

    MONEY RATES IN NEW YORK CITY

    - 1

    1923 1924- 1925 1926 1927 1928 1929

    FEDERAL RESERVE BANK RATES

    DISCOUNT RATES

    [Rates on all classes and maturities of eligible paper]

    I Rate inFederal reserve bank j effect on

    May 6Date established Previousrate

    Boston. . .New YorkPhiladelphia.ClevelandRichmondAtlantaChicagoSt. LouisMinneapolis. _Kansas City..DallasSan Francisco

    July 19, 1928..July 13, 1928..July 26, 1928..Aug. 1, 1928..July 13, 1928..July 14, 1928..July 11, 1928..July 19, 1928..Apr. 25, 1928.May 6, 1929..Mar. 2, 1929..June 2, 1928..

    BUYING RATES ON ACCEPTANCES

    [Buying rates at the Federal Reserve Bank of New York]

    MaturityRate ineffect onMay 6

    1-15 days16-30 days.31-45 days.46-60 days.61-90 days.91-120 days.121-180 days .

    Date established

    Mar. 25, 1929...do.dododo

    Mar. 21, 1929..Mar. 25, 1929..121-180 days . . . . 5% Mar. 25, 1929..

    NOTE.—Rates on prime bankers' acceptances. Highercharged for other classes of bills.

    Previousrate

    rates may be

    OPEN-MARKET RATESRATES IN NEW YORK CITY

    Month or week

    Prevailing rate o n -

    Primecom-

    mercialpaper,4 to 6

    months

    Primebank-

    ers'accept-ances,

    90days

    1928

    Timeloans,

    90days s

    April ! 4*4-4^' ZM-&A1M a y ' • - • ' • • • •

    JuneJulyAugustSeptemberOctober.-NovemberDecember

    1929January. . .February..March

    m 6

    -7M&-7

    Average rate Average yieldon— on—

    Call loans i

    New

    5.065.696.216.066.917.407.126.86

    AprilWeek ending-

    Apr. 6Apr. 13Apr. 20Apr. 27

    594-6

    594-6666

    5 -h\i ViW5U-5H 7H-S

    5H 8^-9

    7 -7H\ 8.86

    l 6.947.47

    I 9.80

    j 9.46

    5V2

    Sy2-9

    9 10.128.487.919.95

    Re-newal

    5.085.706.326.056.877.26

    6.678.60

    7.05

    7.06 .9.10

    10.008.007.908.00

    u. s.Treas-

    urynotesand

    certifi-cates,3 to 6

    months

    Treasury

    bonds3

    5 3.62»3.90«3.92

    4.124.364.57

    '4.574.704.26

    . 4.244.35

    «4.664.634.644.79

    ' * 4.80. 4.84

    ' 4 4. 82. 4.85

    4.794.844.86

    3.323.353.403.50

    JPS

    "T553.483.53

    3.593.663.76

    3.67

    3.753.703.623.62

    1 Stock exchange call loans; new and renewal rates.2 Stock exchange 90-day time loans.* 3 issues—394, 4, and 4J4 per cent; yields calculated on basis of last

    redemption dates—1956, 1954, and 1952.4 Change of issues on which yield is computed.« Maturities of 6 to 9 months.

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

    May 1929