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BOARD OF GOVERNORS
OF THE
FEDERAL RESERVE SYSTEM
R&S MR — 3 S3
February 11, 1936
MONEY RATES —

OPEN-MARKET RATES IN NET/ YORK CITY
(Percent per annum)

Feb.

Prevailing rate on:
Commercial paper (prime, 4 to 6 months)., 3/4
Bankers1 acceptances (prime, 90 days),.,« 1/8
Time loans (Stock Exchange, 90 days),*...
Average rate on call loans (Stock Exchange):
New...... ...............
Renewal..
*,
Average yield on:
United States Treasury tills l/i
182-day "bills
....
273-day "bills .
United States Treasury "bonds,
(10 issues) 2/.
*
.

193b> week ending
Feb. 1
Jan. 11

$

1935
Fet. 9

% $

3/4 - 1

• 75
• 75

.75
.75

.75
• 75

.09

.10

.10

2.66

2.67

2.69

l.on

1.00

.11
2.77

1/Average rate of discount on issues offered "by United States Treasury rzithin week.
2/Wednesday figures.
RESERVE BANK CREDIT OUTSTAKDING AND RELATED ITEMS
(Average of daily figures. In millions of dollars)
Change from week ending
Week ending
Feb.3,1936 Feb.1,1936 Jan.11,1936 Feb.9,1935
44
+1
+3
Bills discounted*4 ................ .
9
il
Bills bought
.
. 5
U.S.Government securities
2,430
+l4
Industrial advances, *
32
+8
+12
4-8
Other Reserve bank credit,........
17
4-11
+27
Total Reserve bank credit
2,493
49
+1,74°
Monetary gold stock
4-29
10,170
-9
-2
Treasury and national bank currency.
2,491
-9
s
4^2
+332
Money in circulation
5,755
+1,226
-W4
-2^
5,823
Member bank reserve balances
2,52
-376
Treasury cash,,
-33
-36
4422
46
-28
-12
Treasury deposits with F.R.banks,,,.
+66
+153
Nonmember deposits
4-25
327
+11
4-2
+3
Other F. R, accounts
256