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• •

BOARD OF GOVERNORS
OF THE FEDERAL RESERVE SYSTEM
R&S MR — 569
November 26, 1935
MONEY RATES ~

OPEN-MARKET RATES IN NEW YORK CITY
(Percent per annum)
1935, week ending
Oct.26
Nov.16
Nov.23

Prevailing rate on:
Commercial paper (prime, 4 to 6 months). 5/4
Bankers1 acceptances (prime, 90 days)••. 1/8
Time loans (Stock Exchange, 90 days)*... 1

5/4
1/8
1/4

3/4
1/8
1

1934
Nov.24
5/4 - 1
1/8
3/4 - 1

Average rate on call loans (Stock
Exchange):
.75
.75

.75
.75

.06

—

.25
.25

1.00
1.00

Average yield on:
United Stfltpc; Treasury bills 1/
117-day M i l s

....

United States Treasury bonds,

—

• 07
—

— —

.13

.14

.17

2.73

2.74

2.74

.25
— —

3.04

l/Average rate of discount on issues offered by United States Treasury within week.
2/Wednesday figures.
RESERVE BANK CREDIT OUTSTANDING AND RELATED ITEMS
(Average of daily figures. In millions of dollars)
Change: from week ending
Week ending
<
Nov.23,1935 Nov.16.1935 Oct.26.1935 Nov.24.1934
5
- 3
- 2
17
5
1
www*.
2,430
+
1
— —
II m II !•
33
+
24
6
+
+ 2
-11
2
2,479
+ . .1
+
-13
10
9,797
+52
+1 ,728
+172
Treasury and national bank currency
+12
+ 15
2,414
50
+ 283
5,757
+ 58
- 3
Member bank reserve balances.......
+1 ,631
5,790
+43
+196
+16
2,587
- 10
339
Treasury deposits with F.R.banks...
46
+
- 8
- 14
1
Nonmember deposits
+ 6
257
+
97
- 41
+
254
- 3
- 1
15