View original document

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

•

•

»

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