Full text of G.13 Selected Interest Rates : November 26, 1935
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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