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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