Full text of H.15 Selected Interest Rates : December 22, 1980
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FEDERAL RESERVE statistical release SELECTED INTEREST RATES (Yields in percent, per a n n u m ) Calendar w e d ; ending Dec. 1 9 , 1980 11.15(519) 15 19.62 Dec. 16 20.45 • Dec. 17 20.27 Dec. 18 20.74 Dec. 19 20.07 Hi i s Week 19.83- 20.19 19.52 17.44 20.44 19.81 17.25 20.56 19.82 18.06 20.42 19.52 17.81 20.04 19.06 16,90 20,33 19.55 17.49 19.64 1° 00 17.57 19.35 15.60 15.30 19.23 19.39 15.60 15.30 19.63 19.41 15.60 15.30 19.58 19.45 15.60 15.30 19.35 19.20 15.70 15.40 18.38 19.36 15.62 15.32 19.24 18,55 15.17 14,34 19.23 20 36 19.87 17.91 20.00 13.00 21 05 20.62 18.65 21.00 13.00 21 29 20.76 18.69 21.00 13.00 20 77 20.48 18.23 21.00 13.00 20 33 19,44 17.45 21.50 13.00 20 76 20.23 18.19, , 1 / 20.29~' 20 03 19,93 18,34, , 1/ 19.07^' 12.36-' Dec. Instruments For Immediate Re leas December 2 2 , 1980 • Last Week , " •"' 13 «2^r Commercial paper 2/4/ Finance paper placed directly 2/ Bankers 1 arccn^ances (prime, 90 d a y s ) 2/ CDs (secondary m a r k e t ) 3-month • • • • « • • • . « . . . . . * . . , • . . - . • • . « , • • • 'Prime loan (large business prime rate-majority) . . , , Discount rato (Federal Reserve Bank of New Y o r k ) . . . . U.S. government securities Treasury bills 2/ Auction average (Issue date) 3-:vu)Pth . . . • • • • • • • « • • • 6-i.onth . , * 1-vear , Secondary market 6-month 13.0016.667 15.423 15.423 16.335 15.069 16.667 16.77 15.53 13.84 16.70 15.51 14.06 16.47 15.43 13.92 16.20 15.27 13.81 14.93 14.17 12.93 16.21 15.18 13.71 16 76 15.39 13.7*» 15.88 15.12 14.41 14.04 13 75 13.51 13.13 12.95 15.70 14.98 14.31 13.87 13.55 13.28 12.87 12.74 IS. 55 14.89 14.78 13.79 13,48 13.22 12.72 12.62 14.47 14.05 13.G6 13.02 12.77 12.64 12.31 12.22 15.44 14.77 14.17 13.69 l°>.40 13.18 12.81 12.68 15 V2 U.66 , . * . . . . . . . 15.61 14.83 14 19 13.75 11 45 13.25 13.00 12.85 ......... . 14,38 13.62 15.34 14.43 13.67 15.41 14.38 13.62 15.41 14.27 13.49 15.37 9.80 14.08 13.04 15.27 14.31 13.49 15.36 9.80 14.19 13.47 15,21 9.40 . . . . . . . . . . . . . . . . . . . Treasury ecus taut maturities 3/ 5.. vpav • . 7-7oar 10-vrar . . , . . 20-voar . . . , . . . * 30-war « . . . Aaa . . . . Baa 1. 2. 3. 4. . - . . .'. . ... . . . • .' . . . . 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 en the commercial paper placed for firms whose bond rating is Aa or the equivalent„ 14 10 1 1 ^8 13.19 12.66 12.78