Full text of G.13 Selected Interest Rates : February 11, 1936
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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