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FEDERAL

RESERVE

BOARD
R&S MR — 349
July 30, 1935

MONEY RATES — OPEN-MARKET RATES IN HEW YORK CITY
(Percent per annum)
J u l y 27
P r e v a i l i n g r a t e on:
Commercial paper (prime, 4 to
Bankers 1 acceptances (prime,
Time loans (Stock Exchange,

1935. week ending
J u l y 20
June 29

, 1Q*
J u l y 28

3/4

3/4

3/4

3/4 - 1

i/g

1/8

l/s

1/8 - 1 / 4

1/4

1/4

1/4

3/4 - 1

Average r a t e on c a l l loans (Stock
Exchange):
.25

.25
.25

.25

Average y i e l d on:
United S t a t e s Treasury b i l l s l /
133-day M i l s *
182-day h i l l s
273***day h i l l s « . « • « « * • *
1 •«#»• •
United S ta te s Treasury bonds,

—

1.00
1.00

.25
.25

. . — -

.07

•. • * * * • •

•. —

.07

.06

.11

2.59

2.58

2.60

—

.09

•

2.84

1/ Average r a t e of discount on issues o f f e r e d by United S tates Treasury within week.
2/ Wednesday f i g u r e s .
RESERVE BANK CREDIT OUTSTANDING AND RELATED ITEES
(Averages of daily f i g u r e s . In m i l l i o n s of d o l l a r s )

Other Reserve bank credit
Total Reserve bank c r e d i t , . . . .
Monetary gold stock,
Treasury and national bank
Money in circulation
Member bank reserve balances..
Treasury deposits with
Federal Reserve b a n k s . . . . . . .
Other F, R. accounts...




5
2,430
28

—
***•

- 6

2,506

+ 4
-29
+17

4,956

2,853
257
274
258

-

•www

1

mmmm

- 3
2,467
9,135
5,509

IT

U. S. Government s e c u r i t i e s . . .

cr

85

I

Change ifrom week ending
Week ending
July 27.1935 July 20.1935
July 28.1934
Bills discounted.............
1
- 1
16

- 6
+ 7

~ 8
- 8
+ 26

+

2
28

5

+
6
+1,222

- 2
- 15
- 50
- 54

+ 142
+ 199
+ 937
74

+31

+174

-30

~ 34

+
+
+

+15

- 1

-

5

217
60
30