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U.S. GOVERNMENT SECURITY YIELDS AND PRICES
(Yields in per cent per annum)

> :<ai Rt^ •

. ,
U.S. Government Security YI&ida_
Other issues
Market Yield
due in 9-12
1-year
6-month
3-month
months 1/
bills
bills
bills

Auction Average
6-month
3-month
bills
bills

Period 1975—November

3
4
5
6
7
8
10
11
12
13
14
15

5.602
CLOSED

5.78

5.93

6.37

5.792

5.53
5.51
5.38

5.74
5,73
5.59

5.88
5.90
5.83

6.31
6.31
6.21

5.52

>.81

6.14

5.30

5.279

24
25
26
27
28
29




.

:
Price
longLongterm
term
bonds 3/ bonds 4/

7.47

7.17

56.06

7.41
7.43
7.34

7.16
7.17
7.16

56.13
56.06
56.13

7.29

7.14

56.27
56.13
56.06
55.70

' i
a

CLOSED

17
18
19
20
21
22

1

5.57
CLOSED

if
:
if
r&Bnes, due
in 3 to
5 years 2/

5.483

5.36
5.37
5.45

5.58
5.66
5.82

5.89
5.97
6.17 .

6.22
6.31
6.40

7.33
7.38
7,51

7.16
7.17
7.22

5.45
5.47
5.47
5.46
5.60

5/77
5.80
5.81
5.82
6.04

6.11
6.12
6.15
6.13
6.32

6.48
6.43
6.44
6.44
6.57

7.56
7.58
7.60
7.57
7.68

7.24
7.26
7.26
7.24
7.26

55.56
55.42
55.42
55.56
55.42

5.52
5.56
5.55

5.95
6.00
5.99

6.21
6.26
6.25

6.49
6.55
6.55

7.62
7.63
7.62

7.25
7.24
7.24

55.49
55.56
55.56

5.99

6.25

6.55

7.62

7.24

55.56

CLOSED

5.471
CLOSED

CLOSED
5.520
CLOSED

5.796
. 1

^

;

5.933

5.54
*

continued
G. 14

S & 3

GOVERNMENT SECURITY YIELDS AND PRICES
(Yields per cent per annum)

Period
Week ending:
1975—November
15
22
29
Month ending:
19 7 5 — N o v e m b e r
1974—November

U.S. Government Security Yields
Market Yield
Other issues
3-month
6-month
4-year
due i n ^ - 1 2
bills
bills
bills
months 1/

bonds 3/

Price
longterm
bonds 4/

5.602
5.279
5.471
5.520

5.792
5.483
5.796
5.933

5.50
5.37
5.49
5.54

5.71
5.65
5.85
5.98

5.89"
5.96
6.17
6.24

6.30
6.27
6.47
6.54

7.41
7.38
7.60
7.62

7.17
7.17
7.25
7.24

56.10
56.04
5,5.48
55.54

5.468
7.585

5.751
7.551

5.48
. 7,47

5.80

6.07
7.29

6.40
7.67

7.51
7.65

7.21
6.93

55.77
57.80

Auction Average
3-month
6-month
bills
bills

i
1/ Currently
6-1/2 per
7-1/2 per
5-7/8 per

includes the following notes:
cent 6f 8/15/76 thru Nov. 15
cent of 8/15/76 thru Nov. 15
cent of 8/31/76

2/ Currently
6per
8-1/8 per
7-7/8 per
7-3/4 per
6,-1/4 per
8-1/2 per

includes the following notes, and one bond:
cent of 11/15/78 thru Nov. 15
cent of 12/31/78
cent of 5/15/79
cent of 6/30/79
cent of 8/15/79
cent of 9/30/79

V

i

Issues, due
in 3 to
5 years
3/

r

>

8-1/4 per cent of 9/30/76
6-1/2 per cent of 10/31/76
6-1/4 per cent of 11/15/76, beginning Nov.
17
6-5/8
7
4
6-7/8
9
3-1/2

per
per
per
per
per
per

cent
cent
cent
cent
cent
cent

of
of
of
of
of
of

11/15/79
11/15/79
2/15/80
5/15/80
8/15/80
11/15/80, beginning Nov. 17

Currently includes the following bonds due or callable in 10 years or more:
6-1/8 per cent of 1986
3
per cent of 1995
3-1/2 per cent of 1990
7
per cent of 1993-98
8-1/4 per cent of 1990
3-1/2 per cent of 1998
4-1/4 per cent of 1987-92
8-1/2 per cent of 1994-99
4
per cent of 1988-93
7-7/8 per cent of 1995-00
6-3/4 per cent of 1993
8-3/8 per cent of 1995-00
7-1/2 per cent of 1988-93
8-1/4 per cent of 2000-05
4-1/8 per cesgt of 1989-94
4_/ Prices derived from average market yields on the basis
of an assumed 3 per cent, 20-year bond.
GOVERNMENT FINANCE SECTION, FEDERAL RESERVE BOARD




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