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Selected Interest &
Exchange Rates
W eekly Series o f Charts

May 26, 1998

DIVISION OF
INTERNATIONAL FINANCE

Prepared by the

BOARD OF GOVERNORS

FINANCIAL MARKETS

FEDERAL RESERVE SYSTEM

SECTION

Washington, D.C. 20551




Table of Contents

TABLES

SUBSCRIPTION RATES:

1. LATEST FIGURES PLOTTED
2. DAILY CERTIFIED SPOT
EXCHANGE RATES

Weekly $30.00 per year or $.70 each
in the United States, its possessions,
Canada, and Mexico. Elsewhere,
$35.00 per year or $.80 each.
Address requests to Publications
Services Division of Support
Services and make payment
remittance payable to the Board of
Governors of the Federal Reserve
System in a form collectible at Par in
U.S. currency.

CHARTS
1. SPOT EXCHANGE RATES INDICES
2. 3-MONTH FORWARD EXCHANGE
3. GOLD PRICE - LONDON
4. CALL MONEY RATES
5. 3-MONTH INTEREST RATES
6. EURO-DOLLAR DEPOSIT RATES
7. SELECTED EURO-DOLLAR AND
8. INTEREST ARBITRAGE: 3-MONTH
9. LONG-TERM GOVERNMENT
10. INDUSTRIAL STOCK INDICES




CHART 1

SPOT EXCHANGE INDICES
DOLLAR PRICES OF FOREIGN CURRENCIES AND W EIGHTED AVERAGE VALUES (THIN LINE)
AVERAGES FOR W EEK ENDING W EDNESDAY
RATIO SC
SCALE
MARCH 1973=400
I 1973=100

100
90

160
150
140
130
120

80

110

70

100

130
120

FOREIGN CURRENCY
PRICE OF U.S. DOLLAR

110

l l I l l l I l I I I l I I I

60

90

330
310
290
270
250

380
350
320
290
260

230

230

210

200

190

170

105
95
85
75
65

110
—

U.K. POUND

100
90
80
70

55

60

45

50
I I I I I I I l I I I I I I I

35

40

195
185
175
165
155

210

145

160

135

150

125

140

120
110
100

200

190
180
170

_

70
60
50
40

FRENCH FRANC

90

30

80

20

70
60

I I I I I I I I I I 1 I I I I
1995




1997

10
1995

1997

CHART 2

3-MONTH FORWARD EXCHANGE RATES
PREMIUM (+) OR (-)
AVERAGES FOR W EEK ENDING W EDNESDAY
PERCENT PER ANNUM

PERCENT PER ANNUM
1
+ O I

+ O I

r-

CM

CM

Tj- CO

COCO

CM
CO

TTt

+ O I
1-

CM

CM
O
TJ-

c o ir )
rf

CM

CO
T-

+ O I

CM

CM

+01
1-

^

C\J

CM
+ O I

CM
+ O I




CHART 3

PRICE OF GOLD IN LONDON
AVERAGES FOR W EEK ENDING W EDNESDAY

U.S. I
420

U.S. DOLLARS PER FINE O l

RS PER FINE OUNCE

420

12.5 Kg BARS
AFTERNOON FIXING PRICE

400

400

380

380

360

360

340

340

320

320

300

300

280

280
1993




1995

1997

CHART 4

C ALL M ONEY RATES
W EEKLY SERIES




co ro

"nI ro

PERCENT PER ANNUM

CHART 5

3-M ONTH INTEREST RATES
W EEKLY SERIES
PERCENT PER ANNUM

PERCENT PER ANNUM

C\J 00
CO
LO
cm

O)

T t CO

oo
hco
in
rt
co
coco




CHART 6

EURO -DO LLAR DEPOSIT RATES, LONDON
AVERAGES FOR W EEK ENDING W EDNESDAY

PERCENT PER ANNUM

PERCENT PER ANNUM

8

8
OVERNIG HT

6

6

4

4

2
8

1.,1

I

I

I

I

I

I

I

I..J ... 1 ..1.-1...1

2
8

7-DAY

6

6

4

4

2

I I I I I I I I I I I I I I I

8

2

8
1-MONTH

6

6

4

4

2

1-1.
1995




I l I I I I I
1997

2

CHART 7

SELECTED EURO-DOLLAR AND U.S. MONEY MARKET RATES
DIFFERENTIAL: PLUS(+), FAVORS BORROWING IN U.S.
AVERAGES FOR W EEK ENDING W EDNESDAY
PERCENT PER ANNUM

PERCENT PER ANNUM

DIFFERENTIAL

+O I

+o I



J__ I__ I__ I__ I__ I__ I__ I__ I__ I__ I__ 1
1995
1997

I

I

I

11

CHART 8

INTEREST ARBITRAGE: 3-MONTH FUNDS
DIFFERENTIAL: PLUS(+), INDICATES FAVOR DOLLAR ASSETS
AVERAGES FOR W EEK ENDING W EDNESDAY
PERCENT PER ANNUM

-*■ rv>

co

.p*

cn

o>

^

10 +

PERCENT PER ANNUM

DIFFERENTIAL

Io +

D IFFER EN TIAL

^/*vyAvV/'«'.y>

/uvV v^'

/
! I

I

I I
1995




I

I

I

I

I

I

1
1997

I

I

I

I

I

I I I I I I I I I I I l I I I
1995

1997

CHART 9

LONG-TERM GOVERNMENT BOND YIELDS
W EEKLY SERIES
PERCENT PER ANNUM

9

8

8

7
7
6
6

10

5
9

9

8

8

7

7

6

6

5

5

4
5

5

6
SWITZERLAND

5

4

4

3

3

2

2
8

1 I 111

1-1 I I I 1 I I I

1

8
NETHERLANDS

7

7

6

6

5

5

4

I.I I 1 I 1 I I I I I I I I 1
1995




1997

4

CHART 10

STOCK INDICES
W EEKLY SERIES
RATIO SCALE
End-1994=100

RATIO SCALE
End-1994=100




1995

1997

22-Apr-98 29-Apr-98 6-May-98

Chart 1.

13-May-98 20-May-98

Spot Exchange Rates and Indices

Noon buying rates (U.S. cents, weekly averages)
Belgian franc
Canadian dollar
French franc
German mark
Italian lira
Japanese yen
Netherlands guilder
Swiss franc
U.K. pound

2.6923
69.851
16.579
55.583
0.05623
0.75994
49.348
66.983
167.97

2.7001
69.584
16.629
55.746
0.05640
0.76058
49.546
67.062
166.90

2.7261
69.664
16.773
56.241
0.05699
0.75435
49.928
67.249
166.55

2.7323
69.568
16.819
56.393
0.05719
0.74965
50.048
67.594
163.64

2.7204
68.980
16.734
56.123
0.05690
0.73869
49.796
67.402
162.77

106.09
69.62
74.71
156.36
32.28
198.98
141.67
215.49
67.94

106.40
69.35
74.93
156.82
32.37
199.14
142.23
215.75
67.51

107.42
69.43
75.58
158.21
32.71
197.51
143.33
216.35
67.37

107.66
69.34
75.79
158.64
32.83
196.28
143.68
217.46
66.19

107.20
68.75
75.41
157.88
32.66
193.41
142.95
216.84
65.83

107.18
67.04
72.68
171.82
29.50
212.81
145.99
56.36
219.79
64.22
99.21

107.53
67.01
72.98
172.56
29.64
211.53
146.50
56.66
221.16
63.04
99.32

107.66
66.79
73.01
172.70
29.66
209.36
146.57
56.08
221.76
63.05
100.02

0.70
2.09
2.04
0.64
5.31
2.15
4.33
-1.71

0.73
2.07
2.04
0.71
5.31
2.07
4.28
-1.73

0.69
2.10
2.06
0.67
5.36
2.08
4.22
-1.75

0.67
2.14
2.09
0.60
5.37
2.13
4.15
-1.76

308.50

310.45

305.86

299.17

299.33

5.38
5.43
4.75
3.31
3.33
0.45
3.04
0.75
7.13

5.39
5.43
4.75
3.38
3.29
0.45
3.25
1.12
7.21

5.31
5.41
4.82
3.38
3.36
0.45
3.37
1.25
7.44

5.49
5.41
4.73
3.38
3.34
0.40
3.30
1.30
6.93

5.55
5.53
4.80
3.38
3.34
0.44
3.21
1.40
7.50

Indices, March 1973 base rates = 100
Belgian franc
Canadian dollar
French franc
German mark
Italian lira
Japanese yen
Netherlands guilder
Swiss franc
U.K. pound

Weighted average exchange value indicesi, March 1973=100
Belgian franc
Canadian dollar
French franc
German mark
Italian lira
Japanese yen
Netherlands guilder
Swedish krona
Swiss franc
U.K. pound
U.S. dollar
Chart 2.

0.74
2.04
2.02
0.59
5.20
2.11
4.28
-1.76

Gold Price in London, Afternoon Fixing

U.S. dollars per fine ounce
Chart 4.

106.48
67.21
72.26
170.71
29.28
215.60
145.32
56.06
219.94
64.61
99.64

3-Month Forward Exchange Rates, Premium or Discount

Canadian dollar
French franc
German mark
Italian lira
Japanese yen
Netherlands guilder
Swiss franc
U.K. pound
Chart 3.

106.23
67.53
72.07
170.24
29.20
215.54
144.80
56.17
219.81
65.11
99.72

Call Money Rates

U.S. federal funds
Overnight Euro-dollar deposits
Canada
France
Germany
Japan
Netherlands
Switzerland
United Kingdom




22-Apr-98 29-Apr-98 6-May-98

Chart 5.

3-Month Interest Rates

U.S. 90-day CD's, secondary market
Canadian finance paper
French interbank rate
German interbank rate
Japanese CD rate
Netherlands interbank rate
Swiss interbank rate
U.K. interbank sterling
Weighted average foreign interest rate
(G-10 Countries)
Chart 6.

5.57
4.93
3.51
3.58
0.66
3.53
1.34
7.37
3.82

5.60
5.08
3.50
3.59
0.64
3.51
1.39
7.38
3.83

5.59
5.06
3.52
3.58
0.63
3.56
1.40
7.35
3.82

5.58
5.12
3.53
3.57
0.56
3.57
1.50
7.35
3.82

5.60
5.13
3.49
3.56
0.55
3.54
1.52
7.39
3.82

5.43
5.53
5.53
5.57
5.63
5.76

5.43
5.50
5.53
5.57
5.66
5.82

5.41
5.50
5.52
5.57
5.66
5.81

5.41
5.50
5.51
5.56
5.64
5.78

5.53
5.50
5.52
5.58
5.64
5.76

Euro-Dollar Deposit Rates

Overnight
7-day
1-month
3-month
6-month
1-year
Chart 7.

13-May-98 20-May-98

Selected Euro-dollar & U.S. Money Market Rates
5.43
5.38
0.05

5.43
5.39
0.03

5.41
5.31
0.11

5.41
5.49
-0.08

5.53
5.55
-0.03

5.57
5.57
-0.01

5.57
5.60
-0.03

5.57
5.59
-0.02

5.56
5.58
-0.02

5.58
5.60
-0.02

Euro-dollar deposit
Interbank sterling (London), covered
Differential

5.57
5.58
-0.01

5.57
5.64
-0.07

5.57
5.59
-0.02

5.56
5.56
-0.00

5.58
5.59
-0.02

U.S. commercial paper
Canadian finance paper, covered
Differential

5.48
5.68
-0.21

5.49
5.79
-0.30

5.50
5.80
-0.30

5.49
5.82
-0.32

5.51
5.81
-0.30

Euro-dollar deposit
Interbank DM (Frankfurt), covered
Differential

5.57
5.62
-0.05

5.57
5.65
-0.08

5.57
5.63
-0.07

5.56
.5.65
-0.09

5.58
5.67
-0.09

Euro-dollar deposit
Swiss interbank, covered
Differential

5.57
5.63
-0.06

5.57
5.74
-0.17

5.57
5.69
-0.13

5.56
5.74
-0.18

5.58
5.69
-0.11

5.44
5.05
4.98
1.55
3.09
5.03
5.87
5.75

5.40
5.04
4.98
1.47
3.06
5.03
5.80
5.68

5.43
5.05
5.00
1.39
3.06
5.05
5.87
5.70

5.41
5.04
4.99
1.35
3.02
5.04
5.94
5.65

Canada
185.64
180.59
182.24
182.92
France
194.27
198.85
204.57
207.42
Germany
221.12
210.93
214.08
220.53
Japan
77.97
77.03
77.01
77.39
Netherlands
267.70
280.29
275.72
278.81
Switzerland
267.00
264.94
277.01
276.98
United Kingdom
160.31
158.95
164.46
165.17
United States
233.37
226.47
228.97
230.81
Indices (in order, rebased to end-1994=100) are Toronto Composite, SBF250,
FAZ Aktien, Tokyo SE (Topix), CBS All-General, Swiss Performance Index,
Financial Times Ordinary, NYSE Composite

182.63
208.82
224.70
78.61
282.09
274.70
163.82
230.59

Overnight Euro-dollar deposits
U.S. federal funds
Differential
3-month Euro-dollar deposit
U.S. 90-day CD's, secondary market
Differential
Chart 8.

Chart 9.

Interest Arbitrage, 3-Month Funds

Long Term Government Bellwether Bond Yields
10-year maturity, where available

Canada
France
Germany
Japan
Switzerland
Netherlands
United Kingdom
United States
Chart 10.

5.33
4.94
4.89
1.58
3.03
4.91
5.78
5.64

Stock Indices (Wednesday figures)