View original document

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

G.13(415)

SELECTED INTEREST RATES
,
(Yields in percent per annum)
July 4
9.4l

Commercial paper 3/7/

Finance paper placed directly 3/

CDs (secondary market)
6"month
Discount rate (Federal Reserve Bank of New York)~*2/ . . . .
U.S. government securities
Treasury bills 3/
Auction Average (Issue date)

Secondary market

Treasury constant maturities 4/

30ryear
Coupon issues due in 10 years or more (long-term) 5/ . .

See back for footnotes.




July 11
9.26

For immediate Release
August 5, 1980

W e e k 1 y
July 18
8.98

July 25
8.68

Aug. 1
8.98

M o n t hi y
June
July
9.47
'"""'"9T0rw •

8.75
8.44
8.26

8.52
8.36
8.21

8.58
8.43
8.30

8.39
8.35
8.26

8.75
8.68
8.61

8.56
8.27
8.03

8.53
8.41
8.29

8.12
7.60
7.60
8.66

8.35
7.95
7.92
8.58

8.50
8.13
8.14
8.55

8.31
8.10
8.10
8.44

8.55
8.25
8.25
8.97

8.01
7.59
7.42
8.31

8.37
8.03
8.03
8.58

8.69
8.70
8.85
12.00
11.00

8.58
8.63
8.61
11.79
11.00

8.65
8.70
8.79
11.50
11.00

8.45
8.50
8.56
11.50
11.00

8.78
8.93
9.11
11.07
10.57

8.53
8.49
8.33
12.63
11.40

8.59
8.65
8.73
11.48
10.87

8.149
8.097

8.209
8.114

8.169
8.110

7.880
7.906
7.669

8.221
8.276

6.995
7.218

8.126
8.101

7.92
7.88
7.86

8.08
8.03
7.91

7.98
7.99
7.93

7.93
7.99
7.94

8.44
8.49
8.43

7.07
7.30
7.54

8.06
f,06
8.00

8.51
8.94
9.15
9.47
9.74
10.11
10.15
10.06
9.69

8.54
8.89
9.16
9.46
9.78
10.18
10.26
10.19
9.77

8.57
8.95
9.19
9.44
9.76
10.20
10.29
10.19
9.80

8.58
9.02
9.23
9.46
.9.76
10.20
10.29
10.20
9.80

9.13
9.47
9.72
9.92
10.20
10.59
10.64
10.58
10.13

8.16r
8.73
8.91r
9.21
9.45
9.78
9.89
9.81
9.40

8.65
9.03
9.27
9.53
9.84
10.25
10.32
10.24
9.83

11.67
10.84
12.66
7.00

11.68
10.94
12.61
7.40

11.78
11.09
12.66
7.50

11.80
11.11
12.65
7.50

11.94
11.33
12.70
8.15

11.64
10.58
12.71
7.11

11.77
11.07
12.65
7.51

12.18

12.23

12.18

12.18

12.25

12.71

12.19

INTEREST RATES
(Yields in percent per annum)

G.13(continued)
CDs
secondary
market
3-mo

ill

Daily
1980

Federal
funds

U.S. Government Securities
Treasury bills 3/
1-yr
3-mo
6-mo

June 30
July

1-yr

2-yr

8.49r

Treasury constant maturities
3-yr
5-yr
7-yr
10-yr
9.19r

9.48r

9.73r

20-yr

30-yr

10.12

1

9.47

8.50

8.65

8.04

7.98

7.96

8.60

9.01

9.26

9.55

9.80

10.13

10.21

2

9.10

8.46

8.67

7.94

7.91 . .

7.90

8.56

9.01

9.18

9.49

9.78 .

10.19

10.22

10.12

3

9.61

' 8.34

8.73

7 .'81

7:73 '

7.73

8.37

8.77

8.98

9.36

9.66 '

10.01

10.09

10.00

A

R.

S

E

D

4

•

M

7

9,35

. 8.44.

..8.59.

8

8.75

8.36

8.64
' 8.65

9

8.30

. 8.32

10

8.81

' 8.29

11

9.12

. 8.37.

,

8.06

.

G«

T

L .

0

7.99

8.62

3.94

9.15

9.49

9.82

10.20

10.28

10.22

7.94 ' • '7.78

8.39

8.80

9.05

9.37

9.68 '

10.09

10.13

10.06

8.19

7.97 .

7.90

7.78

8.42

8.83

9.11

9.41

9.72 -

10.14

10.21

10.14

1

7.99

7.93

8.58

8.90

9.21

9.47

9.80

10.21

10.29

10.21

8.12

8,08

8.71

8.97

9,30

9.56

9.89 .

10.28

10.38

10.30

7.96

. 8.68.

-

8.17

8.16

. . 8.12

8.77

9.16

9.37

9.56

9.89

10.33

10.44

10.36

8.05

8.01

7.99

8.66

8.98

9.22

. 8.45

9.77

10.17

10.29

10.19

7.76

7.78

7.76

8.37

8.79

9.05

9.34

9.65

10.07

10.16

10.05

*

7.96 •

8.00 '

7.91

8.56

8.89

9.16

9.43

9.76

10.21

10.28

10.15

'

7.96 !

8.00

7.89

8.51

8.93

9.16

9.42

9.74

10.20

10.29

10.19

8.59

7.86

7.91

7.83

8.45

8.93

9.14

9.38

9.68

10.13

10.21

10.11

8.37

7.88

7.99

7.96

8.59

9.02

9.19

9.41

9.73

10.18

10.27

10.18

.7.89

7.86

8.50

8.95

9.17

9.40

9.69

10.12

10.25

10.15

14

9.30

8.41

. - 8.76

9.09

8.46

'

16

8.33

8.53

8.74

17

8.64

8.38

8.58

18

8.74

8.39

! 8.63

21.

8.63

8.39

22

8.39

8.32

23

8.86

8.35.

24

8.57

' 8.34

25

8,76

8.36

28

9.10

29

9.31

8.48

8.80

30

9.57

8.54

8.73

31

9.93

8.65

8.90

1.

.8.24 .
'

'

1

E

K

8.61"

15

. . 8.37.

'

. . .8.18 ,

8.80

*

. 8.56.

.

7.83 .

8.44"

'

8.01 ;

8.05 '

7.99

8.64

9.05

9.29

9.51

9.81

10.24

10.34

10.24

8.05

8.10

8.06

8.71

9.15

9.37

9.59

9.91

10.35

10.39

10.33

8.21 .

8.52

.

8.57
"

•

10.50

10.42

10.49

10.40

10.53

10.59

10.51

10.76

10.80

10.80

8.32 . .

8.26

8.93

9.24

9.52

9.77

10.06 .

10.46

'8.30

8,30 '

8.26

8.93

9.28

9.57

9.77

10.05

10.45

.8.38

.8.40

8.31

9.00

9.33

9.56

9.81

10.13

8.62

8.68

8.63

9.36

9.72

9.95

10.09

10.38

.

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 iaues outstanding of bonds neither due nor callable in leas than 10 years, including several very low yielding *•£lower" bonds.
6. Contract interest rates on commitments for first mortgages. Source: FHLMC.
7. Rates ,on the commercial paper placed for firms whose bond rating is Aa or the equivalent.
r—revised