Full text of H.15 Selected Interest Rates : July 10, 1978
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„ . K K IT O M W S B T Jltf! __________________________________________ **u*uitM-- w*'^»umin^««ui(iiiiM<jn.w^wrfv^ w,^***<i»wi<S5i5SSBwS5S55MS5!S»5E55i~ia<- ,.>,/.»■a vr>» F E D E R A L R E S E R V E statistical release w '• <v T« * - ♦'V ;f l f H. 15 >FM INTEREST RATES AND ROND PRICES Yields In per cent per annum) lendar week ending July 8, 1978 July 6 7.72 7.84 7.88 7.64 8.03 9.00 7.25 Instalment s Federal funds (effective rate). . . . . Contnercial paper (prlw, >0 t,< 1 1 ') day Commercial paper (prime, 4 t < *• m >r ) Finance paper placed directly (1 t»< t. r Bankers' acceptances (pi -'n- . um d « ■ Prime loan (large bus Inr pi f < » •». r It Discount rate (Federal Resprv* if *j<>v *rk) Yields on U.S. Government securities- 3/ Auction Average (Issue date); 3-month bill ...................... 6-month bill ...................... i-year bill .................... Market Yields: 3-tnonth b i l l .................... 6-month bill , , .............. l-year bill .............. Treasury constant maturities: 4/ 1year ........... 2year ........... 3year ............. 5-year ............ 7-year .................. 10-year .................. 20-year . .............. 10-year .............. Average fields on corporate bonds (Moody’s) A a a ................ B a a ............ State__ai i local government Aaa ^Moodj-’a). / As ( f week ending fuTV T')77 * -J — *tli« ~ Bills quoted on bank discount basts. Yields on actively traded Issues ad lusted For Immediate Release July 10, 1978 July 7 7.70 7.84 7.92 7.64 8.00 9.00 7.25 7.058 7.447 9.17 8.85 9.60 This Week 7.72 2/ 7.82 ~ 7.88 7.63 ' 8.01 9.00 7.25 Last Week 7.78 2 7.76 '• 7.80 7.58 7.94 9.00 7.00 7.058 7.447 6.967 7.396 5.044 5.246 7.06 7.43 7.73 7.13 7,46 7.80 7.05 7.43 7.75 6.93 7.38 7.72 5.12 5.29 5.46 8.31 8.44 8.50 8.50 8.52 8.62 8.67 8.62 8.40 8.48 8.53 8.52 8.53 8.66 8.72 8.67 8.34 8.45 8.51 8.50 8.52 8.62 8.68 8.63 8.32 8.45 8.51 8.49 8.50 8.59 8.63 8.59 5.81 6.15 6.40 6.78 7.08 7.33 7.58 7.63 9.18 8.85 9.61 5.85 9.19 8.87 9.68 9.18 8.85 9.60 5.85 9.16 8.82 9.58 5.85 8.33 7.93 R.88 5.20 - <Hng Wedn^d.v. constant maturities. Year Ago 1/ 5.35 77 5.38 5.43 5.38 5.38 6.75 5.25 Source: U.S. Treasury Department.