View original document

The full text on this page is automatically extracted from the file linked above and may contain errors and inconsistencies.

F E D E R A L

R E S E R V E

release

SELECTED INTEREST RATES AND BOND PRICES
(Yields in per cent per annum)
Calendar week ending January 27, 1979

H.15

Instruments
Federal funds (effective rate)
Commercial paper (prime, 90 to 119 days) . . . .
Commercial paper (prime, 4 to 6 mos.)
Finance paper placed directly (3 to 6 mos.). . .
Bankers' acceptances (prime, 90 days)
Prime loan (large business prime rate-majority).
Discount rate (Federal Reserve Bank of New York)
Yields on U.S. Government securities: V
Auction Average (Issue date)
3-month bill
6-month bill
1-year bill
•
Market Yields ;
3-month bill
6-month bill
1-year bill
.
Treasury constant maturities: 47
1-year
2-year
3-year
5-year
7-year
10-year
20-year
30-year
Coupon issues due in: _5/
3 to 5 years
„
1

Jan,
22
10.15
10.21
10.25
10.10
10.20
11.75
9,50

Jan,
23
10.06
10.16
10.21
10.05
10.15
11.75
9.50

Jan.
24
10.02
10.04
10.12
9.93
10.1.5
11.75
9.50

For Immediate Release
January 29, 1979

Jan.
25

Jan.
26

10.02
10.04
10.12
9.90
10.05
11*75
9.50

10.05
10.02
10.09
9.90
9.98
11.75
9.50

9.289
9.475

This
Last
Week
Week
10.05 2/ 10.05 2/
10.09
10.28
10.16
10.36
9.98
10.15
10.29
10.11
11.75
11.75
9.50
9.50

Year
Ago 1/
6.72 2/
6.77
6.83
6.75
6.85
8.00
6.50

9.289
9.475

9.411
9.534

6.429
6.709

9.34
9.49
9.52

9.36
9.49
9.53

9.35
9.47
9.51

9.33
9.40
9.41

9.34
9.37
9.35

9.34
9.44
9.46

9.44
9.56
9.61

6.44
6.72
6.82

10.39
9.86
9.53
9.20
9.16
9.12
9.00
8.94

10.40
9.85
9.50
9.16
9.12
9. 10
9..00
8.93

10.36
9.85
9.46
9.16
9.10
9.08
8.98
8.91

10.24
9.78
9.32
9.01
8.98
8.98
8.90
8.84

10,17
9.67
9.27
8.98
8.96
8.93
8.88
8.82

10.31
9.80
9.42
9.10
9..06
9,.04

8.95
8.89

10.50
9.91
9.59
9.26
9.21
9.16
9.03
8.98

30
52
7.65
7.79
7.89
7.98
8.17
8.21

9.38

9.33

9.31

9.19

9.13

9.27

9.43

7.74

9.65
9.25
10.10

9.63
9.21
10.07
5.75

9.62
9.20
10.05

9.65
9.24
10.10
5.75

9.67
9.28
10.15
6.00

8.79
8.47
9,21
5.20

9.68
9.27
10.14

9.67
Average yields on corporate bonds (Moody s). . .
9.26
Aaa
10.13
Baa
„
c
State and local government Aaa (Moody's) _. ._. ._
1/ As of week ending January 28, 1978.
2/
7-day average for statement week ended on preceding Wednesday,
3*/ Bills quoted on bank discount basis.
%j Yields on actively traded issues adjusted to const-mi; m&^urii.. i
"57 Unweighted average of all issues outstanding.




statistical

SO MIX

U.S.

Treasury.