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LevelItem
Reference Number (click to see whole series/group)ADM1/2
Extent1 file
TitleCOMMONWEALTH CENTRAL BANK LETTERS
Date10 Oct 1929 - 27 Mar 1930
Description1929 - Oct 10: Bank rate on the Continent; enquiry into money and credit announced; new capital issues; industrial derating. Oct 24: Clearing banks in September; Coal; United States (US) Monetary developments; Czechoslovakia and Switzerland; Spain. Nov 7: Macmillan to chair enquiry into money and credit; wages; fall of Wall Street prices; consequences elsewhere; Canada; Brazil. Nov 21: Poland; Bank for International Settlements (BIS); tariffs. Dec 5: Business failures; wages; France; Roumania; Japan. Dec 19: Overseas trade to Nov; Berlin acceptance market; Germany; Sweden; Holland; reparations (other than German). 1930 - Jan 2: Gold movements at the Bank in 1929; wages; Scandinavia; Argentina; New York acceptance market. Jan 16: World gold movements in 1929; Austria; the Amsterdam Bill market. Jan 30: London clearing banks in December; US; Hague agreements; Hungary. Feb 13: Bank Chairmen's speeches; United Dominions Trust; Hatry settlement; new capital issues 1929; US; European money rates; French money market. Feb 27: Investment trusts; railways; Russia; Finland. Mar 13: Continental Bank Rates; UK overseas trade 1929; Post Office Savings Bank in United Kingdom (UK) and abroad; BIS. Mar 27: Continental Bank Rates; Sweden; British agriculture; German savings banks.
KeywordUnited States of America (USA) (USA)
Romania

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