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iDERAL RESERVE statistical release
SELECTED INTEREST RATES
1/
(Yields in percent per annum)

G.13(415)
Instruments
Federal funds (effective rate)2/. .
Commercial paper 3/8/

. .

3-month
Finance paper placed directly 3/
1-month
Bankers' acceptances (prime, 90 days) 3/
CDs (secondary market)

Prime loan (large business prime rater-majority)2/ . . .
Discount rate (Federal Reserve Bank of New York)2/. . .
U.S. government securities
Treasury bills 3/
Auction average (Issue date)
6-month . . . . . . . . . .
1-year
. . . . . . . .
Secondary market

Treasury constant maturities 4/
1-year
. . . ...
3-year

.

. . . . . . . .

10-year
20-year
Coupon issues due in

5V

10 years or more (long-term)6/. .
Corporate bonds (Moody's), all industries . . . . . . .
Aaa . . . . . . . . . . . . .
Baa . .
State and local government Aaa (Moody's)
See back for footnotes.




For immediate Release
April 2, 1980

1W e e k l y
Mar. 15
16.45

M o n t h l y
Feb.
14.13
17.19

Mar. 22
16.24

Mar. 28
17.78

16.75
16.95
16.50

16.84
17.04
16.70

16.61
16.95
16.70

13.62
13.78
13.60

16.55
16.81
16.50"

15.71
14.96
14.31
16.59

16.53
15.52
14.72
17.24

16.48
15.50
14.69
17.22

16.34
15.43
14.98
17.29

13.58
13.05
12.39
14.01

16.30
15.36
14.70
17.10

14.88
15.45
15.74
16.11
13.00

16.15
16.87
17.11
16.84
13.00

17.21
17.71
17.77
17.68
13.00

16.97
17.82
17.90
18.46
13.00

16.84
17.80
18.07
19.00
13. JO

13.93
14.30
14.58
15.63
12.52

16.81
17.57
17.74
18.31
13.00

13.700
13.629

15.136
14.792
13.527

15.381
14.956

15.053
14.950

16.532
15.700

12.814
12.721

15.526
15.100

13.78
13.82
13.53

15.37
14.90
13.94

15.32
15.02
13.92

14.76
14.83
13.89

15.55
15.42
14.39

12.86
12.86
12.46

15.20
15.03
14.03

15.24
14.70
14.07
13.76
13.50
13.20
12.59
12.57

15.77
15.03
14.27
13.65
13.23
12.94
12.61
12.44

15.68
14.67
13.83
13.22
12.76
12.54
12.36
12.23

15.58
14.72
13.86
13.21
12.76
12.54
12.29
12.13

16.25
15.16
14.31
13.83
13.28
13.00
12.71
12,55

13.92
13.42
12.84
12.60
12.53
12.41
12.21
12.13

15.82
14.88
14.05
13.47
13.00
12.75
12.49
12.34

13.57
12.10
13.54*
12.88r*
14.16*
8.00

13.65
12.01
13.64
13.00
14.27
8.00

13.21
11.73
13.72
13.00
14.36r**
8.15

13.16
11.67
13.67r***
12.83
14.45
8.25

13.68
12.06
13.87
13.00
14.67
8.25

12.52
11.55
12.92
12.38
13.57
7.28

13.41
11.87
13.73
12.96
14.45
8.16

13.59

14.00

15.40

15.70

16.03

13.03

15.28

Mar. 1
14.62

Mar. 8
16.17

14.46
14.77
14.68

15.92
16.22
16.02

14.45
13.93
13.27
15.10

INTEREST RATES
(Yields in percent per annum)

G.13 (continued)

U. S.
Treasury bills 3/
1-yr
3-mo

Gov

e n t
S e c u r 1 t 1 e
Treasury constant maturities
7-yr
5-yr
3-yr
10-*yr

paper.
3-mo.

CDs
sec.mkt.
3-mo.

1-yr

2-yr

17.14

15.18

16.00

15.00

14.65

13.79

15.60

14.83

14.10

4

16.15

15.76

16.43

15.15

14.62

13.72

15.51

14.86

14.10

5

15.75

16.09

16.54

15.37

14.89

13.91

15.73

14.99

14.21

6

17.05

16.65

17.48

15.70

15.17

14.17

16.06

15.27

14.49

7

16.89

17.40

17.90

15.63

15.15

14.12

15.97

15.20

Daily
1980
March

Federal
funds

3

20-yr

30-yr

13.11

12. 79

12.38

12.32

13.61

13.23

12..91

12.42

12.35

13.68

13.28

13.03

12.62

12.40

13.80

13.40

13. 13

12.90

12.64

14.43

13.64

13.13

12..86

12.75

12.50
12.25

13.53

10

16.28

17.42

17.73

15,,26

14.91

13.84

15.56

14.71

13.95

13.37

12.80

12.63

12.38

11

15.65

16.86

17.41

15.38

14.89

13..78

15.52

14.43

13.61

13.03

12.60

12.41

12.24

12.12

12

15.47

16. 72

17.50

15.60

15.11

13.98

15.77

14.74

13.89

13.27

12.86

12.62

12.46

12.39

13

16.71

16. 77

17.86

15..12

14.98

13. 86

15.61

14.69

13.85

13.20

12.76

12.50

12.45

12.19

14

16.29

16.97

18.05

15.25

15.23

14.12

15.92

14.80

13.85

13.21

12.78

12.52

12.29

12.21
12.20

17

16.75

17.,34

18.59

14.67

14.89

13.90

15.64

14.82

13.88

13.22

12.79

12.58

12.40

18

15.73

17.32

18.00

14.62

14.61

13 .66

15.33

14.42

13.68

13.01

12.60

12.40

12.24

12.00

19

15.59

17.11

17.68

14.33

14.55

13.59

15.23

14.33

13.63

13.00

12.58

12.35

12.01

11.97

20

16.83

16.57

17.16

15..02

15.05

14,.12

15.80

15.03

14.02

13.32

12.83

12.62

12.37

12.22

21

17.68

16.,86

17.69

15..15

15.05

14 .20

15.89

15.02

14.07

13.51

13.01

12.75

12.41

12.28

24

17.92

16,.71

17.80

15 .93

15.59

14 .57

16.36

15.36

14,53

14.03

13.50

13.17

12.86

12.69

25

17.72

16..98

17.91

16,.00

15.62

14 .48

16.23

15.19

14.41

14.00

13.45

13.10

12.89

12.67

26

18.96

16 .94

17.58

15,.93

15.64

14 ,58

16.47

15.26

14.40

13.87

13.26

13.03

12.72

12.56

27

19.04

16,.98

17.83

15 .12

15.20

14 .18

16.11

15.11

14.25

13.75

13.24

12.97

12.69

12.50

28

19.71

17 .13

17.89

14 .75

15.06

14 .14

16.06

14.89

13.96

13.50

12.96

12.72

12.40

12.35

31

19.85

17.23

18.04

14.24

14.71

13 .94

15.80

14.63

13.69

13.31

12.76

12.64

12.44

12.31

JL/ Average of daily figures except for state and local government and conventional mortgages, which are based on Thursday and
Friday figures, respectively.
2/ 7-day average for statement week ended on preceding Wednesday.
3/ Quoted on bank-discount basis.
4/ Yields on actively traded Issues adjusted to constant maturities.
Source; U.S. Treasury.
5/ Unweighted average of all issues outstanding.
6/ Bonds neither due nor callable in less than 10 years, including several very low yielding •'flower" bonds.
7/ Contract interest rates on commitments for first mortgages.
Source; FliLMC.
8/ Rates on the commercial paper placed for films whose bond rating Is Aa or the equivalent.
*
Feb. 28 numbers revised to 13.55, 12.32, and 14.19, respectively.
** Mar. 14 revised to 14.41.
*** Mar. 17 and 18 revised to 13.69 and 13.66, respectively.
NOTICE:

The 3 to 5-year government yield series will be discontinued after March 1980.