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

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