View original document

The full text on this page is automatically extracted from the file linked above and may contain errors and inconsistencies.

BOARD OF GOVERNORS
OF THE
FEDERAL RESERVE SYSTEM
R&s

MONEY RATES ~

m

~

381
4, 1936

OPEN-MARKET RATES IN NEW YORK CITY
(Percent per annum)
19 7 S,veek ending
7eb. 1
Jan. 25

Jan. 3

IQln .
Feb"/2

Prevailing rate on:
Commercial paper (prime, 4 to 6
Bankers 1 acceptances (prime, 90 days)
Time loans (Stock Exchange, 90 days).

3/4
i/g
1

3/4

3/4

i/g
1

1/8
1

3/4
l/S
3/4-1

Average rate on call loans (Stock
Exchange):

.75
.75
Average yield on:
United States Treasury bills 1/:
152-day bills
273-day bills
United States Treasury bonds,

—

.75
.75

.75
,75

.12

•

—

1.00
1.00

.10

.10

.11

2.67

2.67

2.7T

—

2.78

I/Average rate of discount on issues offered "by United States Treasury within week,
2/Wednesday figures.
RESPITE BA'-JK CREDIT OUTSTANDING AND RELATED ITEMS
(Average of daily fi.^ures. In millions of dollars)

Bills discounted
Bills "bought
U.S.Government securities,.........
Industrial advances
Other Reuerve bank credit
Total Reserve "bank credit
Monetar7 gold stock
Treasury and national "bank currency
Money in circulation.
Member bank reserve balances
Treasury cash.
Treasury deposits with F,R» banks..
Honmenber deposits ,
Other F. R. accounts,




Change from week ending
Weok ending
Feb.1,1916 Jan.25,1936]Jan.4,iq36
+2
-1
+3
-1
, 5
-l
2,430
+15
32
-2
>7
+22
+1
2,484
+6
454
4-1,807
10,179
+lg
-2
2,493
-168
+336
5.713
-3
+272
+1.330
5.352
2,561
4403
-26
-67
476
4+2
+122
302
+10
+1
254

%

•

•

BOARD OF GOVERNORS
OF THE
FEDERAL RESERVE SYSTEM
R & S M R — ]82
February
4, 1936

. »
MONEY RATES —

OFEN-KARKET RATES IK NEW YORK CITY
(percent per annun#

193S
Prevailing rate on:
Commercial paper (prime, 4 to 6 months$.,
Bankers ! acceptances (prime, $0 days)...,
Time loans (Stock Exchange, 90 days),....

J amiary

December

3/4
1/8
1

3/4
1/8
1.

1935
November January

3/4
1/8
1

Average rate on call loans (Stock Exchange)

Average yield on:
United States Treasury bills 3./
182-day bills
273-day bills
United States Treasury bonds,

,75
.75

.75
• 75

— —

— —

.10

.09

.14

2.68

2.73

2.73

.75
.75

3/4 - 1
1/8
3/4 - 1

1.00
1.00

.14
—

2.83

1/Average rate of discount on issues offered, "by United States Treasury within month,
2/Average of daily figures.
RESERVE BANK CREDIT OUT STAINING- AMD RELATED ITEMS
(Averages of daily figures* In- millions of dollars)

Bills discounted.
Bills "bought,
United States securities,
Industrial advances
Other Reserve "bank credit
Total Reserve "bank credit#
Monetary gold stock
Treasury and national hank currency.
Money in circulation.
Member bank reserve balances,.......
Treasury cash,
Treasury deposits with F. R. banks,,
Nonmombor deposits.
Other Federal Reserve accounts,,




January
Change from
1916 December 19*55 January 1935
6
-2
-1
, 5
2,1+30
-1
+17
32
11
-9
2,4gU
-10
+1'
486
10,158
-+l,B7
. , -18
2,486
+32
-lUo
+346
5.757
464
4-1,425
5,730
-4i6
2,564
+19
+421
U9U
+170
+4
280
4-86
-10
+11
253