Full text of G.13 Selected Interest Rates : July 10, 1957
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G. 13 July 10, 195? BOABD OF GOVERNORS OF TIE FEDERAL RESERVE SYSTEM OPEN-MARKET MONEY RATES AND BOilD PRICES Cofcaercial paper (prime, It t o 6 mos.) 1 / Cc^gei ice paper placed d i r e c t l y ( 3 t o 6 mos.) l / Backers' acce]stances (prime, 90 days) 1 / Stock Exchange c a l l loans - going r a t e 1 / Yields on U. S. Government s e c u r i t i e s l / B i l l s , 3 months, new issues . . . . . . B i l l s , 3 months, market y i e l d . • » . . Taxable i s s u e s , 9 t o 12 months . . . , Taxable i s s u e s , 3 t o 5 years Bonds - long-term, t a x a b l e : Old s e r i e s New s e r i e s * . . . . . . . . . . . . Price of long-term Treasury bonds: Old s e r i e s series* . . . . . . . . . . . . * r.sekly June 8 June 15 3.70 177?" 3.1tO 3.38 3.30 3.38 June 22 3.85™ 3-55 3.38 Monthly June 29 "fey 1957 June 1957 3-88 3-63 3.38 3.59 3-38 3-25 It .50 JU .50 It .50 It.50 it .50 3.2ii5 3.U2 3.72 3.37a 3.30 3.51 3.69 3.256 3.27 3.53 3.68 3.1t0lt 3.36 3.59 3.8U 3.231 3-23 3.58 3.86 3.U8 3.U5 3.51 3.1t7 3-51t 3-lt9 3.70 3.68 3.60 3.39 3.1t2 88.1,5 88.08 93.29 92.81 87.83 86.23 90.62 86.33 90.78 89.Itl 9U.20 3.79 a.56 3.10 3.82 lt.59 3.lit 3.38 it.62 3.17 3 -9it It .66 3-23 3.97 It .68 3.23 3.7!t it .52 3.26 Average y i e l d on corporate bonds (Moody*s) ] / Aaa . . . . . . . . . . . . . . . . . . Baa . » • • • . . . . . . . . . S t a t e and l o c a l Government, Aaa 2 / , , , . . . . . ¥ June 1 ~T%5 3.38 3.25 93.60 3.62 It .50 3.0lt2 3-06 3-37 3.60 3.00 Average of d a i l y f i g u r e s , Moody's Investor Service; mcTiihly and weekly d a t a are based on Thursday f i g u r e s . 3 - l A p e r cent bond of 1978-83 and beginning February 1 , 1955, 3 per cent bond of February 1995. GOTERNLENT FINANCE SECTION, BOARD OF GCWEiS July 10, 1957