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F J

G.m

.

D

E R

fW gesf
"

L

\

1
2

Closed

11
12
13
14

if
16

18
19
20
21
22
23

3.U82

3.629

Closed

S

E

R

V

E

s t a t i s t i c a l

r e l e a s e

S , Government s e c u r i t y y i e l d s
Market y i e l d
O t h e r i s s u e s I s s u e s , due
3-month
6-month 9 - 1 2 month due i n 9 - 1 2 i n 3 t o 5
bills
bills
bills
months 1 /
years 2/
3.60
3.46
3.60
3.55
U.13
1

3.48.
3.50
3.49
3.49

3.47
3.U91

3.625

Closed

3.47
3.48
3.48
3.47
3.46
3.47

3.1l82

3.598

Closed

25

26
27
28
29
30

E

3.47

4
6
7
8
9

R

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)
A u c t i o n Average .
3-month
6-month
bills
bills

Period
196U - May

A

3.1(75
Closed
Closed




3.595

3.69

3.62
3.63

3.71

3.63
3.63

3.72

3.64

3.60
3.59

3.59

3.59

3.59

^

3.74
3.73

3.71

3.71

3.71
3.70
3.70
3.71

3.49
3.48
3.47

3.59
3.58
3.61
3.61
3.60

3.46
3.46
3.48
3.47

3.58
3.58
3.59
3.59

3.71
3.70
3.70

3.70
3.71
3.71
3.71

3.70

^

Longterm
bonds 3 /
It.19

Price,
longterm ,
bonds It/
03.99

j
1
I
f
|
I
I

3.55
3o55
3.58
3,54
3.53

lt.10
lull
lt.ll
h.ll
lt.08

It.18
It.18
It . 1 8
It.18
It.17

81t.ll
8U.11
8lt.ll
81t.ll
8tw2lt

3.53 ^
3.51
3.51
3.50
3.5:3

It.06
lt.05

L.03
h.OU

It.17
lt.16
It .16
lt.16
It.15

8U.2U
8U.36
8lto36
8U.36
8U.U8

3.83
3.83
3.86
3.84
3.84

U.05
lt.05
U.09
U.09
It.08

It.Ut
lt.llt
lt.llt
It . 1 5
lt.llt

-8lt.60
"8U.60
Bit.60
8U.U8
Bit . 6 0

3.84
3.84
3.84
3.84

U.06
It.06
lt.05
b.05

lt.llt
lt.llt
It .15
It.15

8lt.60
81, . 6 0
BU.ltB
SU.ltB

U.ou

I
;

3o?
G.llt

— 2

A u c t i o n Average
3-month 6-month
bills
bills

Period
Weekly a v e r a g e :
1961* - May
2
9

3.616

23
30

3.LL6
3.U82
3.U91
3.U82
3.L75

Monthly a v e r a g e :
196U - May
1363 - May

2.920

3.U82

3.612

16

Hotel

—

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)

3.629
3.625
3.598
3.595

3.006

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 I s s t i e s , due
b-month |9-12 month due i n 9 - 1 2 i n 3 t o 5
3-month
J
bills
bills
years 2/
bills
months 1 /
3.L5
3.L9
3.L7
3.U7
3.U7

3.60

3.U8
2.92

3.60

3.63
3.29

3.60
3.58

3.01

3.69
3.72
3.71
3.71
3.70

3.56

3.71
3.06

3.67

3.55
3.52
3.8U

3.8L
3.06

Longterm
bonds 3 /

>.1L
L.10
k.ok
h.01

U.19

U.07
3.57

L.16

L.06

U.18
U.16
U.1U
U.lU

3.97

Price,
longterm
bonds k /
83.9k
8L.1L

81.36
8L.58

8U.5U
8L.38

86.66

Y i e l d s a r e a v e r a g e s of t h o s e qomputed b y - t h e F e d e r a l R e s e r v e Bank of New York on t h e b a s i s of c l o s i n g b i d princes.

i f C u r r e n t l y i n c l u d e s t h e 2 - 5 / 8 p e r cent bond of F e b r u a r y 1 5 / 1965^' t h r u May 1 5 t h , and b e g i n n i n g May 18th t h e 3 - 7 / 8 p e r c e n t
n o t e of May 1 5 , 1965.
2/ Currently includes the
-3-3/L p e r c e n t note,
3-5/8 per cent note
3 - 7 / 8 p e r c e n t bond

f o l l o w i n g notes' and b o n d s :
of 8 / 1 5 / 6 7
3-3/L per c e n t bond of 8 / 1 5 / 6 8
of 1 1 / 1 5 / 6 7
3 - 7 / 8 p e r c e n t bond of 1 1 / 1 5 / 6 8
of 5/15/613
L
per c e n t bond of 2 / 1 5 / 6 9

*

3 / 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 bonds due or c a l l a b l e i n tein y e a r s or more:
3—7/8 p e r c e n t of.197U
3 - 1 / 2 p e r c e n t of 1990
L - l / L p e r c e n t of 1975-85
L - l / L per c e n t of 1987-92
3 - l / L p e r c e n t of 1978-83
L
p e r c e n t of 1988-93
L
p e r c e n t of 1980
L - l / 8 p e r c e n t of 1989-9L
3 - 1 / 2 p e r c e n t of 1980
3
p e r c e n t of 1995
3 - 1 / L p e r c e n t of 1985
3 - 1 / 2 per c e n t of 1998
h / P r i c e s d e r i v e d from a v e r a g e market y i e l d s on b a s i s of a n assumed 3 per c e n t , 20-year bond.
GOVERNMENT FINANCE SECTION




June 5, 196L