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FEDERAL RESERVE statistical release
SELECTED INTEREST RATES
(Yields in percent per annum)
Calendar week ending April 10, 1981

H.15(519)

Instruments
Federal funds (effective)
Commercial paper 2/4/
1-month
. . . .o • .
3-month . . . . . . .
6-month . . . . . c o o . . . . .
Finance paper placed directly 2/
1-month
o o• .• •
3-month
6-month • . . • 0 . . . . . . . .
Bankers1 acceptances (top-rated)
3-month
« «>.....
6-month
CDs (secondary market)
1-month . . . o
. . •
3-month « . . o
6-month . . . . . « ,
Prime loan (short-term business) . .
Discount window borrowing (FRBNY). .
U O S. government securities
Treasury bills V
Auction average (Issue date)
3-month
• • • « •
6-month o
. . . . . . . . .
1-year
Secondary market
3-month
.
6-month . . . . «
1-year . .
Treasury constant maturities 3/
1-year «
2-year
• .. •
3-year a . . „ . o • . . •
5-year
. . . ..
7-year
« • • • • • • • » •
10-year 0
• ..
20-year
..
30-year
.
Corporate bonds (Moodyfs)? seasoned
All industries
Aaa • • • • • • • • •
•
Baa . . . . . .
o
State and local bonds (Moody1s), Aaa
1.
2.
3.
4.

For Immediate Release
April 13, 1981

Apr.
6
16.03

Apr.
7
15.60

Apr.
8
14.20

Apr,
9
15.54

Apr.
10
15.56

This
Week
15.431/

Last
Week
14.93J,/

14.68
14.25
13.80

15o02
14.63
14.14

14.21
14o01
13.56

14.66
14.44
14.01

14.83
14.61
14.23

14.68
14.39
13.95

13.82
13.32
12.93

13.95
12.75
12.45

14o00
12.85
12.55

13.75
12.85
12O55

14.04
12.85
12.63

14.29
12.85
12o60

14.01
12.83
12.56

13.39
12.50
12.25

14.75
14.15

14.30
13.70

14.35
13.90

14.60
14.10

14.60
14.10

14.52
13.99

13.26
12.84

14.73
14.73
14.70
17.00
13.00

15.13
15.20
15.14
17.00
13.00

14.29
14.34
14.33
17.00
13.00

14O87
15.12
15.13
17.00
13.00

14.98
15.04
15.02
17.00
13.00

14.80
14.89
14.86
17.001/
13.001/

13.74
13.65
13.61
17.501/
13.001/

14.147
13.783

12.501
12.078

14.147
13.783

14.00
13.63
12.68

13.63
13.18
12.40

13.66
13.33
12.46

13.49
13.32
12.53

13.59
13.33
12.56

13.67
13.36
12.53

12.60
12.18
11.86

14.19
14.13
14.10
14.01
13.93
13.74
13.53
13.28

13.83
13.70
13.73
13.74
13.60
13,41
13.27
12.99

13.91
13.89
13.88
13.85
13.74
13,61
13.38
13.15

13.98
13.87
13.84
13.77
13.63
13,45
13.28
13.02

13.99
13.90
13.89
13.84
13o73
13.59
13,44
13.15

13.98
13.90
13.89
13.84
13.73
13.56
13.38
13.12

13.20
13.33
13.40
13.46
13.36
13.23
13.05
12.77

14.49
13.72
15.43

14.51
13.82
15.40

14.44
13.61
15.36

14,53
13.73
15.42
9.80

14.54
13.71
15.48

14.50
13.72
15.42
9.80

14.29
13.41
15.25
9.50

7-day average for statement week ended on preceding Wednesday.
Quoted on bank-discount basis.
Yields on actively traded issues adjusted to constant maturities. Source: U.S. Treasury.
Rates on commercial paper placed for firms whose bond rating is Aa or the equivalent.