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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