View original document

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

• •
BOARD OF GOVERNORS
OF THE FEDERAL RESERVE SYSTEM
R & S MR-— 359
October 1, 1935
MONEY RATES — OPEN-MARKET RATES IN NEW YORK CITY
(Percent per annum)
1935. week .ending
Sept. 28 Sept. 21 Aug. 31

Prevailing rate on;
Commercial paper (prime, 4 to 6 months). 5/4
Bankers' acceptances (prime, 90 days)...
Time loans (Stock Exchange, 90 days).... 1/4
Average rate on call loans (Stock
Exchange):

3/4
1/8
1/4

.25
.25

.25
.25

Average yield on:
United States Treasury bills 1/

.19

182-day bills
United States Treasury bonds,

5/4 - 1
5/16
3/4-1

5/4
1/8
1/4

.25
.25

—

1954
Sent. 29

1.00
1.00

— —

•

—

— —

— —

.25

.25

.15

2.79

2.81

2.76

.28
3.23

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)

Other Reserve bank credit
Treasury and national bank
Money in circulation
Member bank reserve bnlmcas...
Treasury deposits with F.R.




Change from week ending
Week ending
Sent.28,1935 Sept.21.1935 Aug.31,1955 Sept.29,1954
+ 1
10
10
— —
— —
5
1
—
2,430
- 1
1
+ 1
+
28
50
+ 4
— 3
4
1
+
16
+ 5
- 3
2,479
+ 97
+58
+1,519
9,295
2,581
5,645
5,215
2,659

-10
- 1
+56
+48

-25
+ 49
-115
+ 16

27
+ 21G
+1,270
- 247

118
269
251

-78
+21
+ 1

+ 66
+ 65
- 9

+
+

37
85
23