Full text of G.13 Selected Interest Rates : June 18, 1935
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• • » e R and S MR. •»— 342 June IS., 1935 F E D E R A L R E S E R V E BOARD MONEY RATES — OPEN-MARKET RATES IN NEW YORK CITY (Percent per annum) 1915. week ending June 15 June 8 • W ,16 Prevailing r a t e on: Commercial paper (prime, 4 to 6 months) , , *. Bankers' acceptances (prime, 90 days) Time loans (Stock Exchange, $0 days). Average r a t e on c a l l loans (Stock Exchange): New, . . . . , Renewal, ., Average y i e l d on: United States Treasury b i l l s i / 133-day b i l l s 273-day b i l l s . . . . United States Treasury bonds, (11 i s s u e s ) , S / . . . . . . . . . . . . . . . s s •2 .25 .25 .25 .25 .25 .25 .08 .10 .15 .09 .15 2.60 2.63 2.6l .13 June 16 3^ - % 1/8 - 1/4 3/4^1 1,00 • l.oo 2,9k if Average r a t e of discount on issues o f f e r e d by United States Treasury within week, 2/ Wednesday f i g u r e s , RESERVE BANK CREDIT OUTSTANDING- AND RELATED ITEMS (Average of daily figures# In millions of d o l l a r s ) Change from week ending Week edning June ,l$ t 1935 June 8,1935 May 18. 1935jJune 16,1935 20 T+ , 8 5 Bills discounted,... B i l l s bought, United States Government securities, I n d u s t r i a l advances Other Reserve bank c r e d i t , . . , . . Total Reserve bank c r e d i t Monetary gold stock, Treasury and national bank currency, Money in circulation* . Member bank reserve balances.•, Treasury cash, Treasury deposits with Federal Reserve banks, Nonmember deposits, Other Federal Reserve accounts. 2,430 27 11 2,481 9,008 - + 5 + 106 6 + 1 T 3 + 268 + 14 + 27 + 2 + 22 t 1,189 2.513 5.514 5,017 2,911 7 - 15 + 125 8 - 22 + 6 + 216 + 4o + 152 t 177 +1,192 + 1 + + 15 - 32 1 + + 65 237 258 + 1 28 28 1 - 6 — 33 7 19