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FEDERAL

RESERVE

Dec.
4
9.88
10.24
10.30
9.9/,
10.40
11.50
9.50

Inst rument s
Federal funds (offoel Ive rafei. . . .
Commercial paper (prime, Ml i,< II1) d-u
Commercial paper (prime, i i<> 6 mos.)
Finance paper placed direct 1v M ><< 6
Bankers' acceptances (prime, 'm d.-u*s)
Prime loan (large businepr 1me t 11 »'-m;i j
Discount rate (Federal P< erv« Bulk of N
Yields on U.S. Government ll'i'lir II in r • yj
Auction Average- i Isim fl.H (')
3-month biI I
6-month hi l’
*
1-year bill
Market Yields:
3-month bill
6-month bill
1-year bill
Treasury constant maturities
1year . .
2year . .
3year . .
5-year . .
7-ycar . .
10-year . .
20-year . .
30-year . .
Coupon issues due in
3 to 5 years
Average yields on corporate b-Mi-h (Moi
A a a ..............
B a a ..............
State and local government \ii im
As of week ending pofpmbri i
2J
7-dav average for statement ■,
3/ Bills quoted on bank disc'unt
4/ Yields on actively traded i-<:,
5/ Unweighted average of ill I




r el e a s e

II r i!D INTEREST RATES AMP BONO PRICES
(V 1**Id s in per cent per nnmim)
1 1«*m «1.11 week ending December 9 19 78

11.15

V

statistical

fy )
■ork

8.95
9.1(>
9.30

si

Dec.
5
9.78
10.25
10.34
9. Q/»
10.38
11.50
9.50

Dec .
6
9.66
10.28
10.35
9.94
10.40
11.50
9.50

For Immediate Release
December 10, 1978

Dec. 1 Dec.
7
!
8
9.80
9.82
10.24
10.25
10.30
10.30
9.96
9.96
10.39
10.35
11 .50
11.50
9.50
9.50

This
La s t
Year
Week
Week
Ago 1/
9.87 2/ 9.85 2/ " T . T T 7 7
10.25 " 10.20
6.56
10.32
10.28
6.60
9.89
9.95
6.50
10.38
10.52
6.55
11.50
11.50
7.75
9.50
9.50
6.00

8.984
9.220

8.984
9.220

9.166
9.330

6.049
6.347

8.95
9.26
9.33

8.89
9.24
9.32

8.90
9.25
9.32

8.95
9.26
9.31

8.93
9.24
9.32

8.98
9.27
9.29

6.07
6.38
6.52

10.11
9.51
9.11
8.85
8.81
8.82
8.78
8.79

10. 13
9.50
9. 12
8.87
8.84
8.85
8.79
8.79

10.12
9.50
9.12
8.88
8.85
8.85
8.77
8.78

10.19
9.50
9.13
8.92
8.89
8.89
8.79
8.81

10.17
9.51
9.14
8.93
8.90
8.90
8.80
8.81

10.14
9.50
9.12
8.89
8.86
8.86
8.79
8.80

10.11
9.56
9.16
8.92
8.88
8.85
8.78
8.78

6.94
7.15
7.27
7.44
7.54
7.63
7.81
7.88

8.99

9.01

9.02

9.04

9.05

9.02

9.01

7.36

9.39
9.05
0.86

9.40
9.03
9.85

9.40
9.05
9.8b

9.41
9.06
9.85
5.70

9.41
9.07
9.84

9.40
9.06
9.85
5.70

9.39
9.04
9.85
5.55

8.50
8.13
8.95
5.05

—

—

---------

preceding Wednesday.
isted Io constant maturities.
iandi ng

Source;

U.S. Treasury.