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•
BOARD OF GOVERNORS OF THE
FEDERAL RESERVE SYSTEM

•

R&S MR — 365
November 5, 1935

MONEY RATES — OPEN-MARKET RATES IN NEW YORK CITY
(Percent per annum)
October

Prevailing rate on:
Commercial paper (prime 4 to 6 months).. 3/4
Bankers1 acceptances (prime, 90 days)... 1/8
Time loans (Stock Exchange, 90 days).
1/4
Average rate on call loans (Stock
Exchange):

Average yield on:
United States Treasury bills 1/Y
182-day bills
273-day bills
United States Treasury bonds,

3/4
V;8
1/4

.29
.29

....

1935
September August
3/4
1/8
1/4

.25
.25

.25
.25

—

.

—

.20

.22

.10

2,77

2.78

2.66

1934
October
3/4 - 1
1/8-3/16
3/4 - 1

1.00
1.00

.21
—

5.08

l/Average rate of discount on issues offered by United States Treasury within month.
2/Average of daily figures.




RESERVE BANK CREDIT OUTSTANDING AND RELATED ITEMS
(Averages of daily figures. In millions of dollars)
Chancre from
October
1955 September 1955 October 1934
4
8
- - 2
. —
1
5
—
— —
2,430
+ 2
+
28
32
+
5
+ 2
7
+ 2
+
25
2,482
+299
4-1,556
9,545
+ 9
17
2,598
+ 53
+ 251
5,704
+226
+1,505
5,469
+ 6
- 282
2,658
56
55
- 47
+ 71
+ 150
507
+ 1
+
19
253

$

#

*

#

BOARD OF GOVERNORS
OF THE FEDERAL RESERVE SYSTEM
R&S MR — 366
November 5, 1955
MONEY RATES —

OPEN-MARKET RATES IN NEW YORK CITY
(Percent per annum)
1955, week ending
Nov, 2
Oct. 26 Oct. 5

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).... 1/4 - 1
Average rate on call loans (Stock
Exchange) s
New
..

5/4
1/8
1/4

5/4
1/8
1/4

.55
.55

.25
.25

.10

— —

.25
.25

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

1.00
1.00

Average yield on:
United States Treasury bills 1/

273-day bills
'
United States Treasury bonds,

•

•—-

.10

— —

— —

—

— —

.16

.17

.25

2,75

2.74

2.83

. —

'

.21
• —

3.05

1/ 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.2.1955 Oct.26.1955 Oct.5.1935 Nov. 5,1954
•w .
5
- 4
6
~ 1
—m—
— —
5
1
— —
— —
— —
U.S.Government securities.....
2,430
— —
+ 5
+
27
55
+
Other Reserve bank credit...........
+ 1
5
+ 2
1
+ 1
+ 1
+
2,479
22
+55
+1,676
+279
9,678
Treasury and national bank
+ 8
+ 2
55
2,401
+ 258
+ 9
5,708
+ 12
Member bank reserve balances.
+1,661
+71
5,665
+410
2,595
- 2
-103
545
~
Treasury deposits with F.R.banks....
7
55
- 10
24
+ 114
-17
281
- 26
+
+ 2
+ 7
257
20