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BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM
OPEN MARKET MONET RATES AND BOND PRICES

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R&S MR 10W
February 12, 1958

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1^0"
i
C p S e r c i a l p a p e r (prime, U t o 6 mos.) l /
Finance p a p e r p l a c e d d i r e c t l y (3 t o 6 mos,) if
Bankers ^ a c c e p t a n c e s (prime, 90 days) 1 /
Stock Exchange c a l l l o a n s — going r a t e l /
Y i e l d s on U. S . Government s e c u r i t i e s l /
Taxable i s s u e s , 9 t o 12 months

. . . . . . . . . . . . .

P r i c e of long-term T r e a s u ry bonds 2/
At^^ige y i e l d on c o r p o r a t e bonds (Moody's) 1 /

~
Jan. h

Weekly
J a n . 11 J a n . 18 J a n . 25 Feb. 1

MonthlyDec. 1957 J a n . 1958
3.81
3.1t9
3.55
3.23
3.06
3.35

r.rt
3.50
3.3U

3.68
3.1i3
3.25

3.55
3.38
3.13

3.10
3.13
2.98

3.23
2.90
2.78

lt.5o

It. 50

It. 50

It.13

3.88

U.50

it.27

2.752
2.77
2.81
2.8U3.22

2.858
2.75
2.73
2.79
3.20

2.591
2.57
2.59
2.7it
3.21

2.587
2.37
2.52
2.77
3.27

2.202
1.92
2,29
2.78
3.28

3.102
3.OU
3.09
3.Oil
3.30

2.598
2.iilt
2.56
2.77
3.2it

102.88

103.07

103. lit

102.29

102.00

100.73

102.66

3.68
U. 96
2.86

3.65
It. 92
2.86

3.61
lt.81t
2.68

3.57
it.77
2.65

3.56
it.72
2.68

3.81
5.03
2.92

3.60
it.83
2.7 5

1/ Average of d a i l y f i g u r e s ,
2 / I n c l u d e s a l l bonds maturing or c a l l a b l e i n 10 y e a r s or more; r e p l a c e s t h e "old" and "new" s e r i e s shown p r e v i o u s l y ,
3 / Moody's I n v e s t o r S e r v i c e ; monthly and weekly d a t a a r e based on Thursday f i g u r e s .
GOVERNMENT FINANCE SECTION, BOARD OF GOVERNORS




February 12, 1958