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• •
FEDERAL

* #
RESERVE

BOARD
R&S MR —• 352
August 13, 1935

MONEY RATES — OPEN-MARKET RATES IN NEW YORK CITY
(percent per annum)
19!*), week ending
Aug* 10
Aug* 3
July 13

s 5 s

P r e v a i l i n g r a t e on:
Commercial paper (prime, 4 to 6 months)•
Bankers* acceptances (prime, $0 d a y s ) . . .
Time loans (Stock Exchange, 90 d a y s ) « . . •
Average r a t e on c a l l loans (Stock
Exchange):
New
•.«•••
Renewal.
........
Average y i e l d on:
United States Treasury b i l l s 1 / :
182-day b i l l s
273-day b i l l s ,
United States Treasury bonds,
(10 i s s u e s ) 2 / . .

.25

•25

.25
.25

.25
.25

.07

.07

.05

2.60

2.59

2.59

1934
Aug. 11
3/4 - l
l/8 - i/4
3/4 - 1

1.00
1.00

.25
2.96

1 / Average rate of discount on i s s u e s offered by United States Treasury within week.
2/ Wednesday f i g u r e s .
RESERVE BANK CREDIT OUTSTANDING AND BELATED ITEMS
(Average of daily f i g u r e s . In millions of dollars)
Week ending
Change from week ending
Aug.10,1935 Aug,3,1935 July 13,1935 Aug.11,1934
6
•5
2,430
29

Treasury and national hank
Money in c i r c u l a t i o n . .
Treasury deposits with E.R.banks..




~ 1

2,475
5,562

-26
+33
+26
-22
-4i

5.H3

15

4" 1
- 2
- 2
440

2
29
1
+
12
+1,202

-28
— 8
+76
- 9
+ 8
-55
- 3

+ 115
+ 213
+1,093
- 101
+ 48
+ 43
+
31

*""*
tmtmm

+ 3
+ 2
+19

2,821
105
251
260

-

MM

6

2,476
9,163

- 1

- 3
+ 1

+