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FEDERAL >%sp'' • . RESERVE IG.U s ta tis tic a m 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