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tfDJE.R AL

u.

G.14

Period
1969 - J a n .

RESERVE

— Awettett" average
3-month
6-month
bills
bills
1 i CLOSED
2
6.199
6.332
3
4
CLOSED
6
7
S
9
10
11
13
14
15
16}
17
18
20
21
22
23
24
25
27
28
29
30
31

6.227

6.365

s t a t i s t i c a l

GOVERNMENT SECURITY YIELDS AND PRICES
( Y i e l d s i n per c e n t per annum)

U. S. Government S e c u r i t y Y i e l d s
Market Y i e l d *
Other i s s u e s
3-month
6-month
1-year
due i n 9-12
bills
bills
bills
months 1/

6.375

6.233




6.255

-/
/

T—
Price,
longterm
bonds 4 /

6.14
6.14

6.34
6.35

6.07
6.07

5.71
5.72

67.93
67.84

6.18
6.20
6.19
6.15
6.11

6.36
6.41
6.36
6.33
6.31

6.15
6.18
6.10
6.06
6.04

6.36
6.46
6.36
6.34
6.32

6.13
6.25
6.22
6.16
6.13

5.76
5.85
5.81
5.75
5.73

67.48
66.66
67.02
67.57
67.75

6.13
6.12
6.13
6.05
6.07

6.32
6.30
6.25
6.18
6.25

6.04
6.00
5.96
5.86
5.90

6.29
6.23
6.21
6.19
6.19

6.12
6.10
6.03
5.93
5.92

5.74
5.73
5.73
5.69
5.~71

67.66
67.75
67.75
68.11
—67.93

6.01
6.01
6.13
6.16
6.17 .

6.21
6.20
6.25
6.29
6.28

5.97
6.00
6.06
6.10
6.10

6.18
6.17
6.22
6.29
6.24

5.87
5.93
6.00
5.98
5.96

, 5.68
5.69
5.71
5.71
5.70

68.21
68.11
67.93
67.93
68.02

6.13
6.14
6.16
6.17
6.19

6.24
6.26
6.24
6.27
6.32

6.08
6.07
6.07
6.08
6.07

6.22
6.18
6.24
6.22
6.23

5.97
5.98
6.01
6.02
6.06

5.72
5.75
5.79
5.83
5.88

67.84
67.57
67.20
66.84
66.39

,

CLOSED

6.167

Longterm
bonds 3/

6.29
6.30

CLOSED

6.076

I s s u e s , due
in 3 to 5
y e a r s 2/

6.14
6.13

CLOSED

6U15—

r e Ie a s e

'

-

U. S. GOVERNMENT SECURITY YIELDS AND PRICES
( Y i e l d s i n p e r c e n t p e r annum)
(continued) „
Auction average
6-month
3-month
bills
bills

Period

U. S . Government S e c u r i t y Y i e l d s
Other i s s u e s
Market Y i ^ l d *
1-year
due i n 9 - 1 2
6-mdnth
3-month
bills
months 1/
bills
bills

Issues/~due
i o 3 'to 5
y e a r s 2/

Weekly A v e r a g e s :
1969 - J a n . 4
11
18
25
Feb. 1

6.199
6.227
6.215
6.076
6.167

6.332
6.365
6.375
6.233
6.255

6.15
6.17
6.10
6.10
6.16

6.32
6.35
6.26
6.25
6.27

6.24
6.11
5.95
6.05
6.07

6.34
6.37
6.22
6.22
6.22

6.12
6.18
6,02
5.95
6,01

5.74
5.78
5.72
5.70
5.79

Monthly A v e r a g e :
1969 - J a n u a r y
1968 - J a n u a r y

6.177
5.081

6.312
5.386

6.13
4.99

6.28
5.23

6.05
5.29

6.26
5 . 3 9 <•

6.04
5.53

5.74
5.18

Note:

C u r r e n t l y i n c l u d e s t h e 4 p e r c e n t bond of O c t o b e r 1, 1969.

2/

C u r r e n t l y i n c l u d e s t h e f o l l o w i n g n o t e s and b o n d s :
4
p e r c e n t bond of 2 / 1 5 / 7 2
4 - 3 / 4 p e r c e n t bond of 2 / 1 5 / 7 2

4/

67.61
67.30
67.84
68.04
67.17

;

67.61
73.09

Y i e l d s are a v e r a g e s of those computed by the Federal Reserve Bank of New Yotk on the b a s i s of c l o s i n g bid p r i c e s .
Y i e l d s on Treasury b i l l s are computed on a bank d i s c o u n t b a s i s .

1/

.3/

Price,
longterm
bonds 47

Longterm
bonds 3/

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

includes
c e n t of
cent of
c e n t of
c e n t of
c e n t of

4-3/4
4
4
4-1/8

per
per
per
per

cent
cent
cen t
cent

note
bond
bond
bond

t h e f o l l o w i n g bonds due or c a l l a b l e i n 10 y e a r s or more:
4
1980
4-1/8
1980
3
1985
3-1/2
1990
1987-92

per
per
per
per

cent
cent
cent
cent

of
of
of
of

of
of
of
of

5/15/72
8/15/72
8/15/73
11/15/73

1988-93
1989-94
1995
1998

P r i c e s d e r i v e d from a v e r a g e m a r k e t y i e l d s on t h e b a s i s of a n assumed 3 per c e n t , 2 0 - y e a r b o n d .


GOVERNMENT
FINANCE SECTION, FEDERAL RESERVE BOARD


F e b r u a r y 10, 1969

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J
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