Full text of H.15 Selected Interest Rates : February 28, 1977
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M A R Fob. 22 A. /() A. 75 A. 75 A. 75 A .80 6.25 5.25 \l 3/ 4/ 6/ * Fell. 2A A. 72 A ./5 A .88 A. 75 A. 85 6.25 5.25 Feb. 25 A .66 A .75 A. 88 A. 75 A. 85 6.25 5.25 This Week hast Week Year Ago* A.7A 1/ A.70 1/ A. 80 1/ A. 75 ' A. 75 ~ 5.13 ' A .HA A. 78 5.25 A. 75 4.75 5.13 A .8A A. 78 5.0A 6.25 6.25 6.75 5.25 5.25 5.50 K A. 668 A. 872 A .668 A. 872 A. 633 A. 862 A. 870 5.20A A. 71 A. 97 5.26 A. 71 A .9A 5.22 A. 63 A .8A 5.08 A .90 5.28 5.62 5.59 6. 1A 6 .54 5.37 6.03 6.35 6.73 7.13 7.35 7.61 7.70 6.02 n .a . 6.99 7.25 7.A8 /.7A 7.79 5.5A 6.1A 6.51 6.95 7.2A 7.A 7 7.71 7.80 5.57 6 .80 7. 19 5.52 6.76 7.18 T A. 69 A. 89 5.15 G L O L 5.AG 6 .09 6.A3 6 .HA 7.18 7.A2 7.6A 7.77 5.AA 3 to 5 years ......................... 10 years or more (long-term)............ Price of long-term Treasury bonds 5/6/......... Average yields on corporate bonds (Moody'-) . . . Aaa......................................... Hun. , State and local government Aaa (Moody's)........ Feb . 23 A .HA A. 75 A .8H A. 75 A .88 6.25 5 .25 6.68 7.1A 56.27 0.50 8.06 9 .15 A. 70 A. 92 5.21 A. 73 A .98 5.50 5.62 6.20 6.57 7.02 7.27 6.12 6.51 6.95 7.2A 7.A8 7.72 7.81 5.Aa 6.75 7.17 56.06 8.50 8.06 9. 16 5.2/ 7.50 7.7 5 7.82 5.59 6.82 7.20 55.8A 8.50 8.09 9.15 5.20 55.91 8.52 8.09 9. 18 / o ro Federal funds (effective rate)................. Commercial paper (prime, W to 119 days)........ Commercial paper (prime, A to 6 mos.) .......... Finance paper placed directly (3 to 6 mos.) . . . Hankers' acceptances (prime, 90 days) .......... Prime loan (large business prime rate-majority) . Discount rate (Federal Reserve Hank of New York). Yields on U.S. Government securities 2/ Auction Average (Issue date): 3-monlh hill ............................. 6-month bill............................. 1-vcar h- !i .................... ... Market Yields: 3-month bill............................. 6-month hi 11............................. 1-year bill ............................. Treasury constant: maturities 3/ 1-year ............................... 2-year ............................... 3-year ............................... 5-year ............................... 7-year ............................... 10-year ............................... 30-y<>nr............................... 30-yenr . ............................. Coupon issues due in: A/ Fob.'" 2J 5. A3 6.60 7.12 56.AA 8.51 8.08 9.16 8.0A 9.11 5.20 5.15 v/i Instruments 8.48 7.05 7.40 7.62 7.71 7.96 n.a. 5.86 7.-18 6.88 58.17 0.19 8.51 10.04 6.06 7-day average lor statement week ended on preceding Wednesday. 2/ Hills quoted on bank discount basis. Yields on actively traded issues adjusted to constant maturities. Source: i'.S. Treasury Department. Unweighted average of all issues outstanding. 5/ Bonds neither due nor callable in less than 10 years. Derived from "long-term" yield above on the basis of an assumed 20-year bond with a 3 per cent coupon. As of February 28, 1976.