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51b'

• • f*4L

G.14

w

F E D E R A L

statistical

release

REtt

U. S. GOVERNMENT SECURITY YIELDS A N D PRICES
(lifeIds in per cent per annum)

Auction average
3-month
6-month
bills
bills
5.689
5.871

Period
197J - Feb. 1
2
3

CLOSED

5
6
7
8
9
10

1

R E S E R V E

5.665

12
13
14
15
16
17
19
20
21
22
23
24

5.849

CLOSED

U. S. Government ;security yields
Market v i e l d *
Other issues
Issues, due
3-month
6-month
1-year
due in 9-12
in 3 to
bill;.
bills
bills
months 1/
5 years 2/
5.76
5.96
6.04
6.01
6.57
5.73
5.92
6.01
6.02
6.58

Longterm
bonds 3/
6.12
6.17

Price,
longterm
hnnHc
A/
UULIUO H
"/
64.29
63.86

5.69
5.65
5.57
5.44
5.44

5.86
5.84
5.75
5.66
5.68 -*

5.96
5.95
5.84
5.78
5.77

6.02
6.03
5.95
5.93
5.90

6.56
6.56
6.56
6.56
6.52

6.17
6.17
6.17
6.16
6.13

63.86
63.86
63.86
63.95
64.20

5.50
5.43
5.37
5.40

5.73
5.62
5.59
5.60

5.83
5.76
5.73
5.75

5.95
5.86
5.92
5.94

6.53
6.52
6.51
6.55

6.09
6.11
6.10
6.11

64.55,
64.37
64.46
64.37
.

5.57
5.62
5.56
5.55

5.79
5.87
5.88
5.83

5.87
5.95
5.95
6.03

6.07
6.17
6.18
6.21

6.66
6.68
6.67
6.65

6.15
6.17
6.16
6.12

64.03
63.86
63.95
64.29

5.76
5.90
5.85

6.02
6.14
6.12

6.18
6.18
6.15

6.36
6.38
6.40

6.76
6.75
6.76

6.16
6.15
6.16

63.95
64.03
63.95

CLOSED

5.424

5.624

CLOSED
CLOSED
:
, 5.455
CLOSED

26
27
28

Digitized forGOVERNMENT
FRASER FINANCE SECTION,


5.653

FEDERAL RESERVE BOARD

'

March 7, 1973

517

U. S. GOVERNMENT SECURITY YIELDS A N D PRICES
(Yields in per cent in per annum)

Period
Week ending:
1973 - Feb. 3
10
17
24
Mar. 3
Month ending:
1973 - Feb.
1972 - Feb.

prices.

\

Auction average
3-month
6-month
bills
bills

U. S. Government security yield
Market yield*
Other issues
3-month
6-month
1-year
due in 9-12
bi lis
bills
bills
months 1/

5.689
5.665
5.424
5.455

5.871
5.849
5.624
5.653

-5.70
5.56
5.43
5.58

5.88
5.76
5.60
5.84

5.811

6.045

5.81

5.558
3.180

5.749
3.594

5.60
3.20

.

Issues, due
in 3 to
5 years 2/

Longterm
bonds/

longterm
bonds 4/

5.99
5.86
5.74
5.95

5.96
5.97
5.92
6.16

6.50
6.55
6.53
6.67

6.13
6.16
6.10
6.15

64.24
63.95
64.44
64:03

6.11

6.18

6.39

6.76

6.16

63.91

5.83
3.63

5.93
4.06

6.07
4.07

6.61
5.51

6.14
5.67

64.09
68.32

°
r
"J
ixcoci.vc D<iim ui iNew iorK on cne oasis or closing bi
Yields on Treasury bills are computed on a bank discount basis.

If

Includes only the 4-1/8 per cent bond of Nov. 15, 1973 thru Feb. 15; beginning Feb. 16, includes the 4-1/8
per cent bond of Feb. 15, 1974, and the 7-3/4 per cent note of Feb. 15, 1974.

2/

Currently
6 - 1 / 4 per
5-7/8 p$r
6-1/2 p6r
5-3/4 per
7-1/2 per

includes the following notes:
cent of 2/15/76 thru Feb. 15
cent of 2/15/76 thru Feb. 15
cent of 5/15/76
cent of 5/15/76
cent of 8/15/76

Currently
6-3/8 per
3-1/4 per
6-1/8 per
3-1/2 per
4 - 1 / 4 per

includes
cent of
cent of
cent of
cent of
cent of

3/

6-1/2
6-1/4
8
7-3/4
6-1/4

per
per
per
per
per

the following bonds due or callable in 10 years or
1984
4
per
1985
6-3/4 per
1986
4-1/8 per
1990
3
per
1987-92
3-1/2 per

4/ Prices derived from average market yields on the

http://fraser.stlouisfed.org/
GOVERNMENT FINANCE SECTION, FEDERAL RESERVE BOARD
Federal Reserve Bank of St. Louis

cent
cent
cent
cent
cent

of
of
of
of
of

more:
cent of
cent of
cent of
cent of
cent of

8/15/76 beg. Feb. 16
11/15/76
2/15/77
8/15/77
2/15/78 beg. Feb. 16

1988-93
1993
1989-94
1995
1998

basis of an assumed 3 per cent, 20-year bond.
March 7, 1973