Full text of H.15 Selected Interest Rates : July 1, 1974
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Of cow.-. FEDERAL [fill H. 15 c RESER statistical L. release U.S. GOVERNMENT SECURITY YIELDS AND PRICES Calendar week ending June 29, 1974 June 24 June 25 June 26 Yields (per cent per annum) Auction Average; 3-month bills 6-month bills Market Yields: 3-month bills 6-month bills 1-year bills Other issues, due in 9-12 months 1/ Issues, due in 3-5 years 2/ Bonds, due or callable in 10 years or more 3/ Prices Bonds, due or callable in 10 years or more 4/ NOTE: June 27 June 28 7.841 8.003 Weekly Average Last Year This week week *ago 7.841 8.003 8.177 8.175 7.22 7.29 7.46 7.84 8.13 7.63 8.01 8.16 7.30 7.94 8.19 7.53 8.11 8.39 7.34 7.92 8.35 7.45 7.96 8.24 7.88 8.04 8.10 7.32 7.43 7.31 8.78 8.88 8.84 8.96 8.92 8.88 8.66 7.46 8.26 8.33 8.28 8.41 8.38 8.33 S. 09 6.89 7.04 7.07 7.07 7.09 7.09 7.07 7.01 6.36 57.00 56.78 56.78 56 .6 3 56.63 56.76 57.25 62 .31 Yields are averages of those computed by the Federal Reserve Bank of New York on the basis of closing bid prices. Yields on Treasury bills are computed oi\. a bank discount basis. * As of June 30, 1973. 1/ Currently includes the 5-7/8 per cent note of May 15, 1975 and the 6 per cent note of May 15, 1975. 2/Currently includes the following notes: 7-3/4 per cent of 8/15/77 6-1/4 per cent of 2/15/78 3/ Currently 6-3/8 per 3-1/4 per 6-1/8 per 3-1/2 per 4-1/4 per 4 per 8-3/4 per cent of 8/15/78 6 per cent of 11/15/78 includes the following bonds due and callable in 6-3/4 per cent cent of 1984 7-1/2 per cent cent of 1985 4-1/8 per cent cent of 1986 3 per cent cent of 1990 7 per cent cent of 1987-92 3-1/2 per cent cent of 1988-93 8-1/2 per cent 10 of of of of of of of years or more 1993 1988-93 1989-94 1995 1993-98 1998 1994-99 4/ Prices derived from average market yields on the basis of an assumed 3 per cent, 20-year bond. GOVERNMENT FINANCE SECTION, FEDERAL RESERVE BOARD July 1, 1974