Full text of H.15 Selected Interest Rates : January 14, 1980
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FEDERAL RESERVE statistical release SELECTED INTEREST RATES (Yields in percent per annum) Calendar week ending January 12, 1980 11.15(519) Jan. 7 14.00 Jan. 8 13.86 Jan. 9 Jan. 10 Jan. 11 13.86 14.07 14.13 13.94J7 14.04J7 • • • 13.25 13.13 12.73 13.23 13.13 12.68 13.07 13.04 12.50 12.93 12.90 12.36 12.93 12.92 12.54 13.08 13.02 12.56 13.26 13.11 12.64 • • • • • • . . . 13.20 11.95 11.78 13.25 13.20 11.95 11.78 13.14 12.85 11.95 11.80 13.08 12.80 11.95 11.80 12.98 12.80 11.95 11.78 13.03 12.97 11.95 11.79 13.09 13.32 11.89 11.73 13.29 13.40 13.48 13.58 15.25 12.00 13.33 13.39 13.36 15.25 12.00 13.33 13.36 13.33 15.25 12.00 13.28 13.38 13.36 15.25 12.00 13.18 13.30 13.32 15.25 12.00 13.30 13.38 13.39 15.251/ 12.001/ 13.34 13.45 13.49 15.251/ 12.001/ 11.943 11.858 12.105 11.880 Instruments Federal funds (effective rate), . . Commercial paper 2/5/ 1-month 3-month • ©—Month • • • • • • • • Finance paper p l a c e d d i r e c t l y 1-month 3-month • • • • • • . . 6—month • • • • • • • • Bankers' acceptances (prime, CDs ( s e c o n d a r y m a r k e t ) 1-month 3-month 6-month • • • • • • • • 2/ • . . . • • • • . • • • • • • • • 90 days) 2 / . . "~ . . • • • • • • • • • • • Prime loan (large business prime rate-majority) • Discount rate (Federal Reserve Bank of Mew York), U.S. government securities Treasury bills 2/ Auction Average (Issue date) 3-month ••••••••• 6-month • • • • • • • • • • • • • # • • 1-year ••••••••••• Secondary market 3-month 6-month • 1-year ••••• Treasury constant maturities 3/ 1-year .. ~~ 2-year •. 3-year 5-year 7-year 10-year 20-year • • 30-year Coupon Issues due in 3 to 5 years 4/ Corporate bonds (Moody's), all industries • • . • Aaa Baa State and local government Aaa (Moodyfs) 1/ \l 3/ 4/ \l For Immediate Release January 14, 1980 11.943 11.858 Last 11.040 11.86 11.87 10.90 11.78 11.76 10.81 11.76 11.75 10.76 11.45 11.50 10.60 11.76 11.75 10.83 11.72 11.73 10.78 12.10 11.93 10.97 12.07 11.35 10.72 10.56 10.60 10.63 10.41 10.35 11.94 11.26 10.67 10.52 10.55 10.57 10.33 10.28 11.87 11.24 10.68 10.53 10.56 10.58 10.35 10.29 11.68 11.18 10.62 10.47 10.49 10.51 10.29 10.26 11.94 11.33 10.77 10.61 10.63 10.68 10.39 10.38 11.90 11.27 10.69 10.54 10.57 10.59 10.35 10.31 12.02 11.39 10.75 10.52 10.52 10.52 10.30 10.63 10.56 10.57 10.50 10.63 10.58 10.59 11.59 10.92 12.3* 11.60 10.90 12.34 11.61 10.91 12.37 11.59 10.90 12.34 6.60 11.60 10.91 12.35 11.60 10.91 12.34 6.60 11.54 10.88 12.29 6.50 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. Unweighted average for all issues outstanding. Rates on the commercial paper placed for firms whose bond rating is Aa or the equivalent. This io.25