Full text of H.15 Selected Interest Rates : February 15, 1983
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FEDERAL RESERVE statistical release H.15 (519) For immediate release FEBRUARY 1 5 , 1933 SELECTED INTEREST RATES Yields in percent per annum instruments FEB 8 FEB 9 FfiB 10 FEB 11 8.56 8.44 8.58 8.64 8.53 8.50 8.53 8.68 8.45 8.53 8.66 8.38 8.45 8.50 8.36 8.46 8.54 8.37 8.49 8.61 8.28 8.34 8.40 8.37 8.45 8.54 8.39 8.43 8.49 8.19 8.17 8.15 8.45 8.28 8.28 8.36 8.33 8.33 8.28 8.35 8.38 8.43 8.38 8.38 8.28 8.^5 8.38 8.36 8.34 8.35 8.33 8.23 8.21 8.03 7.96 7.97 8.50 8.60 8.50 8.55 8.50 8.60 8.40 3.50 8.15 8.35 8.45 8.52 8.52 8.60 8.19 8.19 8.52 8.70 9.00 11-00 8.50 8.46 8.63 8.93 11.00 8.50 8.46 8.68 9.01 11.00 8.50 8.44 8.65 8»95 11.00 8.50 8.39 6.48 8.68 11.00 8.50 8.45 8.63 8.91 11.00 8.50 8.46 8.68 8.96 11.00 8.50 8.28 8.36 8.46 11.16 8.50 8.252 8.345 8.122 8.225 7.810 7.898 8.007 FEB 7 FEDERAL FUNDS (EFFECTIVE) 1 / COMMERCIAL PIPES 2 / 3 / 1-MONTH 3-MONTH 6-MONTH FINANCE PAPER PLACED DIBECTLY 2 / 1-HONTH 3-MONTH 6-HONTH B&NKERS ACCEPTANCES (TOP HAT3D) 2 / 3-MONTH 6-MONTH COS (SSCCHDARY MARKET) 1-MONTH 3-MONTH 6-MONTH BANK PRIME LOAM 1 / 4 / DISCOUNT WINDOW BORROWING 1 / 5 / U.S.GOVERNMENT SECURITIES TREASURY BILLS 2 / AUCTIOH AVERAGE (ISSOE DATE) 3-MONTH 6-HONTH 1-YEAR SECONDARY MARKET 3-UOHTfl 6-MOSTH 1-YEAR TREASURY CONSTANT MATURITIES 6 / 1-YBAR 2-IEAR 3-YEAR 5-YEAR 7-YEAR 10-YEAR 20-YEAR 30-YEAR COMPOSITE OVER 10 YEARS(LONG-TERM) 7 / COHPUfiATE BONDS (HOODYS), SEASONED ALL INDUSTRIES AAA BAA STATE & LOCAL BONDS(MOODYS),AAA CONVENTIONAL MORTGAGES 8 / 1. 2. 3. 4. 5. 6. 7. 8« 8.252 8.345 This week Last week JAN 8.23 8.39 8.43 8.29 8.40 8.46 8.28 8.40 8.48 8.17 8.27 8.34 8. 14 8.24 8.32 8.22 8.34 8.41 8.16 8.29 8.34 7.86 7.93' 8.01 9.10 9.80 10.09 10.49 10.83 10.96 11.24 11.10 9.14 9.83 10.09 10.50 10.84 10.99 11.27 11.12 9.13 9.89 10.14 10.58 10.89 11.00 11.31 11.14 8.98 9.74 10.00 10.38 10.69 10.83 11.13 10.96 8.97 9.70 9.97 10.31 10.64 10.80 11.12 10.94 9.06 9.79 10.06 10.45 10.78 10.92 11.21 11.05 8.98 9.68 10.00 10.38 10.74 10.88 11.16 11.01 8.62 9.33 9.64 10.03 10.36 10.46 10.78 10.63 10.80 10.82 10.84 10.71 10.67 10.77 10.74 10.37 13.10 12.11 14.01 13.10 12.10 14.01 13.12 12.14 14.04 13.10 12.10 14.00 8.90 13.09 12.09 14.03 13.10 12.11 14.02 8.90 n.a. 13.07 12.06 14.01 9.00 13.06 12.90 11.79 13.94 9.00 13.31 n.a. WEEKLY FIGURES ARE AVERAGES OF 7 CALENDAR DAYS ENDING ON WEDNESDAY OF THE CURRENT WEEK; HGHTHLY FIGURES INCLUDE EACH CALENDAR DAY IN THE HONTH. QUOTED ON BANK-DISCOUNT B A S I S . RATES ON COMMERCIAL PAPE3 PLACED FOR FIRMS WHOSE BOND SATING I S AA OR THE EQUIVALENT. RATE CHARGED BY BANKS ON SHORT-TEEM BUSINESS LOANS. RATE FOR THE FEDERAL RESERVE BANK OF NEW YORK. YIELDS ON ACTIVELY TR.1DED ISSUES ADJUSTED TO CONSTANT MATURITIES. SOURCE: U . S . TREASURY. UNWEIGHTED AVERAGE OF ALL ISSUES OUTSTANDING OF BONDS NEITHER DUE NOR CALLABLE I N LESS THAN 10 Y3APS, INCLUDING SEVERAL VERY LOW YIELDING "FLOWES" BONDS. CONTRACT INTEREST RAT3S ON COMMITMENTS FOR FIRST MORTGAGES. SOURCE: FHLiiC. NOTE: WEEKLY AND MONTHLY FIGURES ARE AVERAGES OF DAILY HATES, EXCEPT FOR STITE & LOCAL BONDS AND CONVENTIONAL MORTGAGES, WHICH AR3 BASED ON THURSDAY AND FRIDAY FIGURES, RESPECTIVELY. * Rates for January 6 and 7 should have read 8 . 1 5 and 8 . 0 5 , i n that order. Weekly and monthly averages were not a f f e c t e d .