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FEDERAL RESERVE statistical release
For immediate release

H.15 (519)

APBIL

SELECTED INTEREST RATES

5 , 1S62

Yields in percent p9t annum
Instruments

FEDERAL FUNDS (EFFECTIVE) 1 /
COMMEBCIAL PAPEfi 2 / 3 /
1-MONTH
3-MONTH
6-MONIH
PINANCE PAPEB PLACED DIRECTLY 2 /
1-MONIH
3-MONTH
6-MONIH
BANKERS ACCEPTANCES (TOP BATED) 2 /
3-MONTH
6-MONTH
CDS (SECONDARY MABKET)
1-MONTH
3-MONTH
6-HON1H
BANK PitlME LOAN 1 / 4 /
DISCOUNT WINDOW BORROWING 1 / 5 /
U.S.GOVERNMENT SECURITIES
TREASURY BILLS 2/
AUCTION AVEBAGE ( I I S U E DATS)
3-MONTH
6-MONTH
1-YEAR
SECONDARY MABKET
3-MONTH
6-MONTH
1-YEAR
TREASURY CONSTANT MATURITIES 6 /
1-YEAR
2-YEAR
3-YEAR
5-YEAR
7-YEAR
10-YEAR
20-YEAR
30-YEAR
COMPOSITE
OVER 10 YEARS(LONG-TERM)7/
CORPORATE BONDS (MOODYS), SEASONED
ALL INDUSTRIES
AAA
BAA
STATE & LOCAL BONDS(MOODYS),AAA
CONVENTIONAL MOBIGAGES 8 /

12.
*.
4.
5.
5.
7.
.

This
week

Last
week

16.02

14.93

14.48

14.68

14.60
14.22
13.75

14.79
14.27
13.71

14.64
14.29
13.86

13.80
13.76
13.46

13.99
13.80
13.47

14.66
13.15
13.15

14.40
13.35
13.25

14.50
13.35
13.25

14.44
13.20
13.16

13.51
12.88
12.84

13.73
12.91
12.89

14.25
13.80

14.15
13.70

14.10
13.55

44.15
13.60

14.18
13.69

13.75
13.36

13.73
13.33

14.65
14.69
14.70
16.50
12.00

15.02
14.92
14.*1
16.50
12.00

14.54
14.54
14.47
16.50
12.00

14.75
14.73
14.61
16.50
12.00

14.68
14.70
14.69
16.50
12.00

14.07
14.20
14.23
16.50
12.00

14.12
14.21
14.25
16.50
12.00

13.399
13.243

12.553
12.673

12.493
12.621
12.509

MAR
29

MAR
30

MAR
31

APR
1

APR
2

15.37

15.49

16.80

15.48

14.32
14.20
13.88

14.51
14.30
13.90

14.96
14.45
14.05

14.20
13.05
13.05

14.44
13.10
13.10

14.25
13.80
14.46
14.64
14.77
16.50
12.00

13.399
13.243

HAfi

13.41
13.29
12.86

13.43
13.31
12.87

13.26
13.15
12.74

13.24
13.06
12.67

13.26
13.06
12.66

13.32
13.17
12.76

12.72
12.78
12.50

12.68
12.77
12.47

14.47
14.53
14.57
14.39
14.30
14.16
14.02
13.79

14.45
14.63
14.51
14.41
14.34
14.19
14.05
13.81

14.30
14.52
14.52
14.39
14.37
14.18
13.85
13.68

14.21
14.42
14.37
14.26
14.25
14.10
13.82
13.60

14.17
14.44
14.39
14.26
14.23
14.10
13.84
13.61

14.32
14.51
14.47
14.34
14.30
14.15
13.92
13.70

14.01
14.18
14.18
14.03
13.96
13.86
13.69
13.48

13.95
14.19
14.13
13.98
13.93
13.86
13.75
13.53

13.26

13.24

13.13

13.13

13.10

13.17

12.91

12.98

15.72
14.64
16.88

15.75
14.69
16.93

15.75
14.67
16.94

15.71
14.64
16.90
11.90

15.70
14.64
16.89

15.73
14.66
16.91
11.90
16.95

15.64
14.53
16.79
11.90
17.04

15.68
14.58
16.82
11.95
17.16

16.95

WEEKLY FIGURES ABE AVEBAGES OF 7 CALENDAR DAYS ENDING ON HBDNESDAY OF THE CDBBENI WEEK;
MONTHLY FIGUBES INCLUDE EACH CALENDAB DAY IN THE MONTH.
QUOTED ON BANK-DISCOUNT BASIS.
RATES ON COBMERCIAL PAPEB PLACED FOR FIBHS 1HOSE BOHD RATING IS JLA OB THE EQUIVALENT.
RATE CHABGED BY BANKS ON SHOBI-TEBM BUSINESS LOANS.
RATE POB THE FEDERAL RESERVE BANK OF NEW YORK.
YIELDS ON ACTIVELY TRADED ISSUES ADJUSTED TO CONSTANT MATURITIES. SOUBCE: U.S. TBEASUBY.
UNWEIGHTED AVERAGE OF ALL ISSUES OUTSTANDING OF BONDS NEITHEB DUE NOB CALLABLE IH LESS THAN 10 YE-ABS.
INCLUDING SEVERAL VERY LOW YIELDING "FLOWEB" BONDS.
CONTRACT INTEREST RATES ON COMMITMENTS FOB FIBST MOBIGAGES. SOOBCE; FHLMC.

SOTE: WEEKLY AND MONTHLY FIGUBES ARE AVEBAGES OF DAILY BATES, EXCEPT FOR STATE 6 LOCAL BONDS
AND CONVENTIONAL MORTGAGES, WHICH ARE BASED ON THURSDAY AND FBIDAY FIGURES, BESPECTIVELY.