Full text of G.13 Selected Interest Rates : July 21, 1936
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# * * e BOARD OF GO VETOES OF THE FEDEBAL RESERVE SYSTEM E&S MB 4 l l J u l y 21, 1936 OPEN-MARKET MONEY BATES IN NEW YOBK CITY (Percent per annum) Week ending July 18 1936 July 11 1936 "June 20 1936 July 20 1935 Prevailing r a t e on: Commercial paper (prime, 4 to 6 Bankers 1 acceptances (prime, 90 days) Time loans (Stock Exchange, $0 days)• Average r a t e on Stock-exchange c a l l loans: New. Renewal ..... Average y i e l d on United S t a t e s obligations: Treasury b i l l s , 273-days l / . . . . . . . Treasury notes, 3-5 years, Treasury bonds (11 i s s u e s ) 3/4 1/8 11/4 3/4 1/8 1 1/4 3/4 1/8 11/4 3A 1/8 1/4 1.00 1.00 1.00 1.00 1.00 1.00 ,25 .25 .12 .07 .24 .06 1.18 2.5O i,i4 2.49 1.16 2.50 1.15 2.5S l/A.verage r a t e of discount on issues o f f e r e d within week, 2,/Wednesday f i g u r e s .