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.Co? cow.-

FEDERAL

RESERVE

statistical

U. S. GOVERNMENT SECURITY YIELDS AND PRICES
(Yields in per cent per annum)

G. 14

Auction Average
3-month
6-month
bills
bills

Period
1973 - Oct.

1
2
3
4
5
6
8
9
10
11
12
13

M

S:","

"

r

15
16
17
18
19
20
22
*
23 '•
24
25
26
27
29
30
31

release

7.149

7.584

CLOSED

U . S. Government Security Yields
Market Yield*
Other issues
3-month
6-month
due in 9-12
1-year
bills
bills
bills
months 1/
7.06
7.61
7.46
7.58
7.64
7.86
7.68
7.71
7.48
7.54
7.56
7.74
7.58
7.61
7.60
7.75
7.36
7.35
7.30
7.51

Longterm
bonds 3/
6.25
6.28
6.29
6.29
6.24

Price of
longterm
bonds 4/
63.19,;
62.94
62.85
62.85
63.27

6.72
6.82
. 6.81
6.73

6.19
6.19
6.21
6.20

63.69
63.69
63.53
63.61

Issues, due
in 3 to
5 years 2/
6.83
6.96
6.91
6.96
6.79

CLOSED
7.323

7.259

CLOSED

7.188

7.242

CLOSED

7.13
7.14
7.15
7.14

7.19
7.36
7.42
7.31

7.18
7.33
7.32
7.22

7.46
7.50
7.50
7.39

7.19
7.28
7.19
7.13
7.03

7.36
. 7.30
7.27
7.22
7.04

7.27
7.30
7.25
7.03
6.91

7.40
7.44
7.42
7.41
7.35

6.80
6.83
6.81
6.79
6.76

6.22
6.26
6.29
6.29
6.27

63.44
63.11
62.85
62.85
63.02

7.04
7.02
7.05
7.18

7.02
7.01
7.09
7.23

6.90
6.78
6.82
6.91

7.34
7.23
7.22
7.23

6.82
6.81
6.78
6.78

6.29
6.28
6.29
6.26

62.85
62.94
62.85
63.11

7.20
7 . 22
7.36

7.26
7.28
7.37

6,87
6.86
6.93

7.21
7.20
7.28

6.79
6.77
6.83

6.27
6.26
6.27

63.02
63.11
63.02

r

CLOSED
6.959
CLOSED




6.951

^

G.14

U. S. GOVERNMENT SECURITY YIELDS AND PRICES
(Yields in per cent per annum)

Auction Average
3-month
6-month
bills
bills

Period
Week ending:
1973 - Oct. 6
13
20
27
Nov.

3

Month ending:
1973 - Oct.
1972 - Oct,
.
bid prices.

U. S. Government Security Yields
Market Yield*
Other issues
3-month
6-month
1-year
due in 9-12
bills
bills
bills
months 1/

7.149
7.323
7 V 188
6.959

7.584
7.259
7.242
6.951

7,42
7.14
7.16
7.07

7.59
7.32
7.24
7.09

7.52
7.26
7.15
6.85

7.196

7.263

7.38

7.43

6.99

7.155
4.719

7.259
5.118

7.22
4.74

7.32
5.13

7.17
5.39

•

•

Issues, due
in 3 to
5 years 2/

Longterm
bonds 3/

p r

.

c e

bonds 4/

7.66
7.46
7.40
7.26

6.89
6.77
6.80
6.80

6.27
6.20
6.27
6.28

63.02
63.63
63.05 •
62.94

7.32

6.83

6.27

63.02

7.42
5.41

6.81
^ 6.11

6.26
5.69

63.13
68.09

y
u c o c l v c 0clu
»
r;;7
* 0 1 wew xorK on the basis of closing
Yields on Treasury bills are computed on a bank discount basis.

1/ Currently includes the 5-5/8 per cent note of August 15, 1974, and the 6 per cent note of September 30, 1974.
2/ Currently includes the following notes:
6-1/4 per cent of 11/15/76
per cent of 2/15/77

7-3/4 per cent of 8/15/77
6-1/4 per cent of 2/15/78

3/ Currently includes the following bonds due or callable in 10 years or more:
6-3/8 per cent of 1984
6-3/4 per cent of 1993
3-1/4 per cent of 1985
7-1/2 per cent of 1988-93

BEE EE:! E L
4

per cent of 1988-93

H i 5 EE:
3-1/2 per cent of 1998

4/ Prices derived from average market yields on the basis of an assumed 3 per cent
GOVERNMENT FINANCE SECTION, FEDERAL RESERVE BOARD




20-year bond.

November 6, 1973