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E R

A

L

R

u. s,
Auction Average
3-month
6-month
bills
bills

Period

1969 - July 1
2
3 .
4
5

6.455
Closed
Closed

7
8
9
10
11
12

7.069

6.944

7.309

15
16
17
18
19

7.105

E

R

V

E

s t a t i s t i c a

GOVERNMENT SECURITY YIELDS AND P R I C E S ^ \ \
(Yields in per cent per annum)
\J

[

U/

U. S. Government Security Yields
Market Yield *
Other issues- "Issues, due
3-month
6-month
1-year
due in 9-12
in 3 to 5
bills
bills
bills
months 1/
years 2/

r e l e a s e

m c r

Longterm
Bonds 3/

7.400

7.459

7.47
7.42
7.22

7.70
7.82
7.75

6.99
7.04
. 7.02

6.07
6.10
6.08

64.72
64.46
64.63

6.88
6.89
7.04
7.00
6.80

7.12
7.08
7.25
7.28
7.21

7.18
7.08
7.07
7.06
7.02

7.78
7.69
7.72
7.64
7.51

7.05
7.09
7.14
. 7.07
6.83

6.12
6.15
6.18
6.13
5.98

64.29
64.03
63.78
64.03
65.51

6.94
6.97
6.99
7.04
7.05

7.35
7.32
7.30
7.35
7.36

7.09
7.09'
7 . 03
7.08
7.09

7.56
7,58
7.48
7.47
7.50

6. S3.
6,98
6.91
6.93
6.98

6.02
6.07
6.04
6.06
6.05

65.15
64.72
64.98
64.80
64.89

7.36
7.37
7.31
7.30
'7.25

7.09
7.14
7.14
7.13
7.14

7.50
7.54
7.54
7.52
7.52

6.98
7.00
7.01
7 . 03
7.07

6.05
6.02
6.62
6.05
6.06

64,89
65.15
65.15
64.89
64.80

7.15
7.14
7.13
7.10

7.57
7.54
7.50
7.50

7.10
7.09
7.10
7.03

6.06
6.05
6.06
6.03 '

64.80
64.89
64.80
65.07

•

i

7*13
7.12
7.13

Closed
'

7.12
7.11
7.11
7.172




7.313

Price
of longterm
Bonds 4/

6.85
7.10
7.07

7.05
7.08
7.220

~ e

6.47
6.74
6.81

Closed

21
22
23
24
25
26

31

S

Closed

%

28
29
30

E

7.06

7.26
7.23
7.20
7.16

.

••.'.c

G . 14

Period
W e e k Ending:
1969 July
5

12
19
26
Aug.
2
Month Ending;
1969 - July
1968 - July
Note:

U. S. GOVERNMENT SECURITY YIELDS A N D PRICES
(Yields in per cent per annum)
-(continued)
"
.
U. S. Government security yields
A u c t i o n average
Market y i e l d *
Other issues
Issues, due
3-month
6-month
3-month
6-month
1-year
due in 9-12
in 3 to
bills
bills
bills
bills
bills
months 1/
5 years 2/

Longterm
bonds 3 /

Price
of longterm
bonds 4/

,6.456
7.069
7.105
7.220
7.172

6.944
7.309
7.400
7.459
7.313

6.58
6.94
7.00
7.10
7.08

6.94
7.19
7.34
7.32
7.19

7.33
7.08
7.08
7.13
7.16

7.71
7.67
7.52
7.52
7.53

7.00
7.04
6.95
7.02
7.07

6.08
6.11
6.05
6.04
6.05

64.63
64.33
64.91
64.98
64.89

7.004
5.382

7.285
5.480

6.98
5.31

7.23
5.41

7.14
5.40

7.59
5.68

7.02
5.44

6.07
5.09

64.75
73.99

Y i e l d s are averages of those computed by the Federal Reserve Bank of N e w York on the basis of closing bid
prices.
Yields on Treasury bills are computed on a bank discount basis.

iy

Currently includes the 5-5/8 per cent note of May 15, 1970, and the 6-3/8 per cent note of May 15, 1970.

2/

Currently
4
per
4
per
4 - 1 / 8 per

includes the
cent bond of
cent bond of
cent bond of

Currently
4
per
3 - 1 / 2 per
3 - 1 / 4 per
3 - 1 / 4 per
4 - 1 / 4 per

includes
cent of
cent of
cent of
cent of
cent of

3/

4/

following notes and bonds:
8/15/72
8/15/73
11/15/73

4-1/8 per cent bond of 2/15/74
4 - 1 / 4 per cent bond of 5/15/74

the following bonds due or callable in 10 years or m o r e :
1980
4
per
1980
4-1/8 per
1985
3
per
1990
3-1/2 per
1987-92

cent
cent
cent
cent

of
of
of
of

1988-93
1989-94
1995
1998

Prices derived from average market yields on the basis of an assumed 3 per c e n t ^ 2 0 - y e a r bond.

G O V E R N M E N T F I N A N C E SECTION, F E D E R A L R E S E R V E BOARD




August 6, 1969