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FEDERAL
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.

RESERVE

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release

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

Auction average
6-month
3-month
bills
bills
1974 - Nov. 1
2
4
5
6
7
. 8
9
11
12
" 13
14
15
16

;

18
19
20
21
22
23

25
26
27
28
29
FRASER 30

C

L

0

S

E

D

C

L

0

S

E

D

U.S. Government Security Yields
Other issues
Marker Yield *
due in 9-12
6-month
1-year
3-month
months 1/
bills
bills
bills
7.99
7.87
7.55
7.78

C , L
C

L

0 S

E

D

S

E

D

0

7.93

7.91

7.08

56.71

7.60
7.64
7.60

7.34
7.37
7.34

7.79
7.76
7.76

7.86
7.79
7.77

7.04
7.02
7.00

57.00
57.14
57.29

7.48
7.44
7.35
7.30

7.37
7.38
7.24
7.17

7.74
7.72
7.59
7.46

7.73
7.72
7.65
7.56

6.97
6.95
6.90
6.87

57.51
57.66
58.03
58.26

C

L

0

S

E

7.52
7.46
7.41
7.51
7.40

7.52
7.37
7.35
7.45
7.43

7.23 .
• 7.18
7.16
7.22
7.14

7.56
7.56
7.55
7.56
7.54,

7.58
7.57
7.51
7.52
7.47

• 6.88
6.87
6.87 *
6.87
6.87

58.18
58.26
58.26
58.26
58.26

7.427

C

L

0

S

E

7.31
7.42
7.60

7.44
7.56
7.70

7.15
7.29
7.33

7.56
7.61
7.67

7.47
7.51
7.52

6.86
6.88
6.88

58.33
58.18
'58.18

7.47

7.56

7.26

7.65

7.51

6.88

58.18

D

C L 0i S E D
7.369
7.328
C L C) S E D

Digitized for


„

J

D
,

7.528

....

.1

7.35
7.18
7.17
7.32

7.552

7.604

Price of
longterm
bonds 4/
56.71

7.48

7.62
7.62
7.58

7.857

7.880

Longterm
bonds 3/
7.08

7.75

7.82

1

Issues, due
in 3 to
5 years 2/
7.97

Coht inued
G.14

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

Auction average
3-month
6-month
bills
bills

Week ending:
1974 - Nov. 2
9
16
23
30
Month ending: 1974 - Nov.
1973 - Nov. ;
MflTT? .

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

7.892
7.880
7.604
7.528
7.328

7.766
7.857
7.552
7.427
7.369

7.95
7.66
7.26
7.46
7.45

7.86
7.65
. 7.39
7.42
. 7.57

7.585 .
7.866

7.551
7.823

7.47
7.83

7.52
7.96

•

Issues, due
in 3 to
5 years 2/

8.02
7.81
7.63
7.55
7.62

7.98
,7.83
7.67
7.53
7.50

7.12
7.04
6.92
6.87
6.88

56.43 "
57.04
57 .87
58.24
58.22

7.29
,7.40

7.67
7.66

7.65
6.96

6.93
6.31

57.80
62.71.

basis of closing bid

Yields on Treasury bills are computed on a bank discount basis.

1/

Includes the 5-7/8 percent note of August 15, 1975 thru November 14, the 8-3/8 per cent note of
September 30, 1975, and beginning November 15, the 7 per cent note of November '15, 1975.

2/

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

includes the following notes:
cent of 2/15/78
cent.of 8/15/78
cent of'11/15/78
cent of 5/15/79

3/

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

includes the following bonds due or callable in 10 years or more;
cent of 1985
7-1/2 per cent of 1988-93
cent of 1986
4-1/8 per cent of 1989-94
cent of 1990
3
per cent of 1995
cent of 1987-92
7
per cent of 1993-98
cent of 1988-93
3-1/2 per cent of 1998
cent of 1993
8-1/2 per cent of 1994-99

4/

Prices derived from average market yields on the basis of an assumed 3 per cent., 20-year bond.

6-1/4 per cent of 8/15/79
6-5/8 per cent of 11/15/79 beg. Nov.
7
per cent of 11/15/79 beg. Nov.

GOVERNMENT FINANCE SECTION, FEDERAL RESERVE BOARD




Price of
longterm
bonds 4/

7.51
7.38
7.29
7.19
7.26

o
prices.

Longterm
bonds 3/

15
15

DECEMBER*2, 1974