Full text of G.13 Selected Interest Rates : July 26, 1956
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i V * f* S B&S MR 1029 July 26, 19% BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM OPEN-MARKET MONEY RATES AND BOND PRICES r.rfaraayf-i (prime, it t o 6 mos.) 1 / Finance paper p l a c e d d i r e c t l y (3 t o 6 mos.) 1 / Bankers' acceptances (prime, 90 days) l / Rate on Stock Exchange c a l l l o a n s : New Renewal 1/ Y i e l d s on U. S . Government s e c u r i t i e s 1 / B i l l s , 3 months, new i s s u e s . . . . . . 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 y e a r s . . . . . pds - long-term, t a x a b l e : • Old s e r i e s New s e r i e s * P r i c e of long-term Treasury bonds: Old s e r i e s New s e r i e s * Average y i e l d on c o r p o r a t e bonds (Moody's) l / Aaa * » « • • . . . . . . . . . . . . . . Baa S t a t e and l o c a l Government, Aaa 2 / . . . . . June 2 3.38 Weekly June 9~ ! June 16|June 23 3.38 3.38 3.38 June 30 3.38 2.U0 2.38 3.00 3.00 3.00 3.00 it.00 it.00 it.OO It. 00 U.oo It. 00 It.00 it. 00 it. 00 It.OO It.OO it.OO it.OO it.OO 2.573 2.55 2.7k 2.91 2.562 2.it30 2. hi 2.535 2.1t8 2.650 2.82 2.61 2.92 2.581 2.51 2.72 2.85 2.83 2.90 2.83 3.0k 2.527 2.it9 2.69 2.87 2.87 2.99 2.87 2.98 2.87 2.97 2.88 2.98 2.92 3.00 2.93 3.03 2.89 2.93 95.23 102.09 102.28 95.18 95.25 102. it2 95.09 102.27 9it.56 101.92 92t.ItO 101.35 95.03 102.22 3.27 3.71 3.27 3.75 2.38 3.26 3.26 3.75 2.32 3.27 3.77 2.3U 3.28 3.27 3.75 2.3k 3.00 2.50 2.1*2 2.50 2.53 2.50 3.75 2.33 2.60 2.60 1/ Average of d a i l y f i g u r e s . 2 / Moody's I n v e s t o r S e r v i c e j monthly and weekly d a t a a r e based on Thursday f i g u r e s . 3 - l / i i p e r cent bond of 1978-83 and beginning February 1, 1955, 3 p e r cent bond of February 1995. GOVERNMENT FINANCE SECTION, BOARD OF GOVERNORS Mcnthlv May 1956 June 1956 3.38 3.27 3.00 3.00 2.50 2.15 3.73 2.it6