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Selected Interest &
Exchange Rates
W eekly Series o f Charts

October 16, 2000

DIVISION OF
INTERNATIONAL FINANCE

Prepared by the

BOARD OF GOVERNORS

FINANCIAL MARKETS

FEDERAL RESERVE SYSTEM

SECTION

W ashington, D .C . 20551




Table o f Contents
TABLES
1. LATEST FIGURES PLOTTED
2. DAILY CERTIFIED SPOT
EXCHANGE RATES
CHARTS
1. NOMINAL CURRENCY EXCHANGE
VALUES
2. 3-MONTH FORWARD EXCHANGE
RATES
3. PRICE OF GOLD IN LONDON
4. OVERNIGHT FUNDING RATES
AND OFFICIAL INTEREST RATES
5. 3-MONTH INTEREST RATES
6. LONG-TERM GOVERNMENT BOND
YIELDS
7. STOCK INDEXES




SUBSCRIPTION 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 o f Support
Services and make payment
remittance payable to the Board of
Governors o f the Federal Reserve
System in a form collectible at Par in
U .S. currency.




Chart 1

Nominal Currency Exchange Values
Dollar prices of foreign currencies and weighted average values of U.S. dollar
(Averages for week ending Wednesday, ratio scale, March 1973 = 100)

200
180

160

140

120
290
260

230

200

170

300

260

220

180

90

70

50

30

Chart 2

3-Month Forward Exchange Rates
Premium (+) or (-)
(Averages for week ending Wednesday, percent per annum)

1
German mark and euro

U.K. pound

0

-1

-2

-3

8
Canada

Japanese yen

6

4

2
2
Swiss franc




Australian dollar

1

0

-1

-2

Chart 3

Price of Gold in London
(Averages for week ending Wednesday)

u.s.

U.S. dollars per fine

per fine ounce

420

420

12.5 Kg Bars
Afternoon fixing price

400

400

380

380

360

360

340

340

320

320

300

300

280

280

260

260

240




1995

1996

1997

1998

1999

2000

240




Chart 4

Interbank Funding Rates and Official Interest Rates
(Averages for week ending Wednesday, percent per annum)

Germany/Euro Area

Marginal
H
lending rateJ

tr
ijl

Lombard rate
Call money

.
i*»»

Discount rate

i

f

[ t _ /

Overnight
deposit raXes^
___________ I___________ ___________ i___________
1997
1998
1999
2000

Chart 5

3-Month Interest Rates
(Averages for week ending Wednesday, percent per annum)

7
German/euro-area interbank

U.S. CD

5

3

1
4
Canadian finance paper

Japanese CD

2

0

-2
6
U.K. interbank sterling

Swiss interbank

4

2

0

Australian bank bill




Swedish treasury bill

9

7

5

3

1

Chart 6

Long-Term Government Bond Yields
(Averages for week ending Wednesday, percent per annum)

8
United States

Germany

6

4
Weighted average
foreign rate

2

0
8
Canada

6

4

2

0

United Kingdom




8
France

6

4

2

0
8
Switzerland

6

4

2

0




Chart 7

Stock Indexes
(Averages for week ending Wednesday, ratio scale, December 3 0,1994 = 100)

13 -Sep-00 20-Sep-00 27 -Sep-00 4-Oct-OO
Chart 1.

11-Oct-OO

Nominal Currency Exchange Values

Noon buying rates (U.S. cents, weekly averages)
Australian dollar
Canadian dollar
Japanese yen
Restated German mark and euro
Swedish krona
Swiss franc
U.K. pound

55.7240
67.549
0.94142
86.53
10.3247
56.403
141.69

54.2980
67.267
0.93416
85.38
10.1830
56.167
140.53

54.7780
67.117
0.93088
87.42
10.3337
57.474
145.19

54.2400
66.439
0.92211
87.87
10.2907
57.714
146.44

53.4700
66.640
0.92246
86.91
10.1387
57.268
145.13

39.44
67.32
246.49
124.45
45.72
181.46
57.31

38.43
67.04
244.59
122.80
45.09
180.70
56.84

38.77
66.89
243.73
125.73
45.76
184.90
58.72

38.39
66.22
241.44
126.39
45.57
185.67
59.23

37.84
66.42
241.53
125.00
44.90
184.24
58.70

0.12
0.83
1.81
6.30
3.25
0.56

0.11
0.84
1.76
6.32
3.27
0.59

0.25
0.92
1.80
6.41
3.29
0.69

0.36
0.94
1.75
6.44
3.31
0.66

272.39

273.46

273.32

270.73

Indexes, March 1973 base rates = 100
Australian dollar
Canadian dollar
Japanese yen
Restated German mark and euro
Swedish krona
Swiss franc
U.K. pound
Chart 2.

3-Month Forward Exchangei Rates, Premium or Discount

Australian dollar
Canadian dollar
Euro
Japanese yen
Swiss franc
U.K. pound
Chart 3.

Gold Price in London, Afternoon Fixing

U.S. dollars per fine ounce
Chart 4.

0.16
0.85
1.75
6.33
3.21
0.55

273.03

Interbank Funding Rates and Official Interest Rates

United States
Target federal funds rate
Effective federal funds
Discount rate
Canada
Bank rate
Call money
Lower bound
Euro area
Marginal lending rate
Eonia
Repo rate
Overnight deposit rate
Japan
Call money
Discount rate
Switzerland*
Upper bound
Libor rate
Lower bound
United Kingdom
Call money
Repo rate

6.50
6.50
6.00

6.50
6.50
6.00

6.50
6.50
6.00

6.50
6.58
6.00

6.50
6.47
6.00

6.00
5.75
5.50

6.00
5.76
5.50

6.00
5.74
5.50

6.00
5.77
5.50

6.00
5.76
5.50

5.50
4.62
4.50
3.50

5.50
4.54
4.50
3.50

5.50
4.52
4.50
3.50

5.50
4.73
4.50
3.50

5.65
4.77
4.75
3.65

0.25
0.50

0.25
0.50

0.25
0.50

0.25
0.50

0.25
0.50

4.00
3.48
3.00

4.00
3.43
3.00

4.00
3.44
3.00

4.00
3.57
3.00

4.00
3.55
3.00

6.60
6.00

5.95
6.00

5.81
6.00

6.03
6.00

5.88
6.00

*In January 2000, the Swiss National Bank began to target the Swiss Franc 3-month LIBOR
interest rate, with the aim of keeping this rate inside a range given by an upper and
a lower bound.




13-Sep-00 20-Sep-00 27-Sep-00 4-Oct-OO
Chart 5.

3-Month Interest Rates

U.S. 90-day CD's, secondary market
6.59
6.58
6.58
6.70
Australian bank bill
6.65
6.48
6.55
6.60
5.87
5.87
5.87
Canadian finance paper
5.88
4.84
Euro-area interbank
4.86
4.82
4.99
0.41
0.33
0.33
Japanese CD
0.33
Swedish treasury bill
4.11
4.06
4.07
4.09
3.34
3.47
Swiss interbank
3.40
3.31
U.K. interbank sterling
6.05
6.04
6.03
6.03
4.08
Weighted average foreign interest rate
4.03
4.01
4.02
(Canada, euro area, Japan, United Kingdom, Switzerland, Australia, and Sweden)
Chart 6.

6.70
6.44
5.88
5.01
0.43
4.08
3.47
6.06
4.10

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

5.72
5.77
Canada
5.77
5.76
5.44
5.41
France
5.40
5.46
Germany
5.27
5.30
5.26
5.25
5.67
5.64
Italy
5.63
5.62
1.86
1.84
Japan
1.86
1.88
Switzerland
3.96
3.92
3.99
3.99
United Kingdom
5.33
5.37
5.32
5.24
5.84
United States
5.76
5.86
5.84
Weighted average foreign interest rate
4.99
5.02
5.01
4.98
(Canada, euro area, Japan, United Kingdom, Switzerland, Australia, and Sweden)
Chart 7.

11-Oct-OO

5.75
5.37
5.23
5.60
1.82
3.93
5.17
5.82
4.96

Stock Indexes (Wednesday figures)

Canada
France
Germany
Euro area*
Italy
Japan
Switzerland**
United Kingdom
United States

255.12
334.09
268.89
437.08
326.26
95.12
323.36
147.80
269.08

256.62
325.72
263.20
427.17
315.28
97.53
316.40
143.10
260.56

243.26
321.36
260.77
412.80
313.89
92.88
319.58
144.24
261.44

249.78
319.20
262.34
414.21
314.42
96.99
322.61
144.27
265.06

240.77
302.45
252.22
405.89
302.51
93.63
311.52
141.76
255.21

Indices (in order, rebased to December 30, 1994, **December 29, 1994) are Toronto Composit
SBF250, FAZ Aktien, *Dow Jones EURO stock index, Banca Italiana General, Tokyo SE (Topix),
Swiss Performance Index, Financial Times Ordinary, NYSE Composite