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FEDERAL *41 RE^> U S , 3 4 5 6 7 • 8 < C 10 11 12 13 14 15 8.260 C 17 18 19 20 „ 21 22 1 24 25 26 27, 28 29 8,177 C 0 8.27 8.19 8.16 8.05 8.15 8.33 8.16 8.14 8.02 8.10 5 8.14 8.13 8.20 8.36 8.31 E D 8.23 8.21 8.30 8.44 8.41 8.03 8.02 i1 8.13 i 8.28 ! 8.23 11 ? 8.17 8.13 7.99 7.82 7.30 E D 8.17 8.12. 8.06 8.07 7.77 8.04 ; 8.13 ! 8 .10 :i 8.16 ; 8.03 8.66 8.71 8.63 8.65 8.64 7.84 8.01 7.94 8.11 7.92 8.13 8.16 8.19 8.39 8.35 8.78 8.88 8.84 8.96 8.92 S 8.324 L O 8.175 L O j , , 7.841 i 8.003 1 - ; C I L O GOVERNMENT SECURITY YIELDS AND PRICES (Yields in per cent per annum) 8.09 , 8.11 7.95 7.93 8.15 E D 8.426 L release Issues due in 3 to 5 years 2/ Longterm bonds 3/ Price, longterm bonds 4/ I I 8.300 statistical U.S. Government security yields Market yield* Other issues 1 3-month 6-month 1-year due in 9-12 bills bills bills months 1/ i E D 8 Auction Average 3-month 6-month bills bills C 0 L Period 1974 - June 1 • - vrft RESERVE s I 7.46 7.63 7.30 7.53 7.34 E D 8.77 8.59 8.63 8.56 8.50 8.17 8.07 8.10 8.03 7.95 8.52 8.58 8.66 * 8.83 8.81 7.95 7.99 8.08 8.17 8.10 • i1 | i j ! i 8.03 8.09 8.07 8.10 8.14 " . 8.26 8.33 8.28 8.41 8.38 1 ' : 7.,07 7.,05 7.,05 7.,03 6.,98 1 ! I 6.96 6.97 7 .00 7 .01 7 .00 57,.59 57 .51 -57..29 57,.22 ! 57.29 7 .00 7 .00 : , 7.00 7 .01 7 .02 1 1 ! : i ; ; 7 .04 ; 7 .07 ' 7.07 ; 7 .09 " 7:09 56. 78 56.,93 56.,93 57.,07 57.,44 57 .29 57 .29 57 .29 57 .22 57 .14 57 .00 56.78 56.78 56 .63 56 .63 Continued G. 14 Period Week ending: 1974 - June 8 15 22 29 U.S. GOVERNMENT SECURITY-YIELDS-AND PRICES (Yields in per cent per annum) U. S. Government security yields Auction average Market yield* 3-month 6-month 3-month 6-month 1-year bills bills bills bills bills 8.300 8.260 8.177 7 .8,41 8.426 ' 8.324 8.175 8.003 8.05 8.23 7.88 7.45 8.16 8.32 8.04 7.96 8.15 8.14 8.10 8.24 Other i due in 9-12 months 1/ ' i ! 8.61 8.68 8.66 8.88 • Issues due in 3 to 5 years 2/ Price longterm bonds 3/| bonds 4/ r 4- 8.06 8.06 8.09 8.33 7.04 6.99 7.01 7.07 57.03 57.38 57.25 56.76 Month ending: 1974 - June 8.145 8.232 7.90 8.12 8.16 8.71 8.14 7.03 57.11 1973 - June 7.188 i 7.234 7.19 ! 7.23 7.05 7.27 6.76 6.32 62.61 NOTE: Yields are average,s of those computed by the Federal Reserve Bank of New York on the basis of closing bid prices. Yields on Treasury bills are, computed on a bank discount basis. IV Currently includes the 5-7/8 per cent note of May 15, 1975 and the 6 per cent note of May 15, 1975. 2/ Currently includes the following notes: 7-3/4 per cent of 8/15/77 6-1/4 per cent of 2/15/78 3/ 4/ 8-3/4 per cent of 8/15/78 6 per cent of 11/15/78 Currently 6-3/8 per 3-1/4 per 6-1/8 per 3-1/2 per 4-1/4 per 4 per includes the following bonds due and callable in 10 years or more: cent of 1984 6-3/4 per cent of 1993 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 8-1/2 per cent of 1994-99 Prices derived from average market yields on the basis of an. assumed 3 per cent, 20 year bond. GOVERNMENT FINANCE SECTION, FEDERAL RESERVE BOARD July 1, 1974