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R&S 100-6768 .
Decenber 2, 1957
S. G0VERIi:EI7T SECURITY YIELDS AND FRIGES
(Yields in per cent per annum)
U . S . Government security yields
Price of longLong-term
3-month b i l l s
term bonds
9-12
3-5
bonds
year
Old I iiew
month
Market Rate
taxable taxable 3/ New jk/^Wew. series (series
yieldi?
issues 1/ Issues 2/ series series
'
h/
3/
1,
3.64 93.30 j >o73T
3.83
3.90
i
3.59
: Closed

Period
1957 - November 1

3.86

3.96

3.79

3.62-

93.69

90.91

3.72
3.63

3.81

3.90
3.39
3.89

3.77
3.76
3.76

3.59
3.So

93.97
9b.C6
9b .09

91.16
91.22
91.31

3.63
3.53
3.53
3.35

3.91
3.88
3.86
3.57

3.76
3.72
3.70
3.60

Ji33.56
3.5b
3.b7

9b ,12
9b .it5
9b .55
95.72

91 .Ll
91.75
92.06
93.35

3.26
3.39
3.35
3.3L
3.33

3.52
3.U9
3.U1
3.39
3.3L

3.56
3.5L
. 3.50
! 3.16
I 3.hk

3 -b6
3.b6
3.bb
3.41
3.b2

96.06

96.33
96.81
97.12
97.36

93.62
93.62
93.38
9b .25
9k .111

25
26
27.
28 iClosed
29 j 3 .lit 3.158
30 Closed

3.33
3.12
3.37

3.35
3.38
3.31

I3.L1L
I 3.18

| 3.12

3.b0
3.U2
3.U0

97.38
96.9k
97.56

9b .53
91.25
9b .69

3.36

3.26

| 3 .hO

3.33

97.75

9b. 88

3.591 3.622
3.501.3.5%,
3;38|3A73
3.12 3.11*5
3.lUi 3.156
3.29! 3.337

3.90
3.77
3.5b
3.3b
3.38

b.01
3.91
3.80
3.b3
3.32
3.63

3.85
3.77
3.70
3.50
3.bb
j 3.61 j

3.6b
3.60
3.5b
3.bb
3.bo
3.50

93.17
93.95
9b. 71
96.75
97 J.il
95.63 I

90.31
91.12
92.15
93.96
9b.59
92.87

3.5L
Closed
3,52
3.50 3.571
3.16
jClosed
11

12

13
lh
15
16

18
19
20
21
22

23

-Yeekly average:
November 2
9
16

23
30

Closed
3.L5
3 «u5
3.Uu
.173
3.16
'Closed
1
3.12
3.10
_1#12
i 3.13 3.1U5

I

5.13

(Closed
I
I 3.1k
3.1U
1

Monthly average:
3.52
Monthly average
90.22 j 96.35
3.30 i 3.30
2.99 . 3.000
3.15
3.b9
November 1956
"Note: Yields are averages of those computed by the Federal Reserve Bank of New York
on the basis of closing bid prices. Rate on new b i l l issue i s average of
accepted tenders in Monday auction.
1/ The h per cent c e r t i f i c a t e , o f 8/1/58.
2/ Includes the 2-1/8 per cent bond of 11/15/60, 2—3/U per cent bond of 9/l5/6l,
2-1/2 per cent bond of l l / l S / 6 l , U per cent note of, 8 / l / 6 l , 3-5/8 per cent note
of 2/15/62, and the 2-l/U per cent 6/59-62 bond.
2/ Taxable marketable bonds due or callable in 10 to 20 years: 2-1/2 per cent
12/67-72 and the h per cent bond of 10/1/69.
Digitized yfor FRASER
3 - 1 A per cent bond of 6 / 7 8 - 8 3 and the 3 per cent bond of 2 / 1 5 / 9 5 .
http://fraser.stlouisfed.org/
GOVEPJ35EHT FIMCE SECTION, BOARD OF GOVERNORS
Federal Reserve Bank of St. Louis