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FEDERAL

RESERVE

statistical
Rf

U. S. GOVERNMENT SECURITY YIELDS AND PRICES
Calendar week ending July 15, 1972

H.15

July
10

July
11

July
12

Yields (per cent per annum)
A u c t i o n average:
3-month bills
6 - m o n t h bills
Market yield:
3-month bills
6 - m o n t h bills
1-year bills
Other issues, due in
9 - 1 2 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:

2/

4/

Weekly a v e r a g e s
This
La s t
Year
ago*
Week
Week

Ju ly
14

4.102
4.605

4.138
4.688

5.376
5.483

4.04
4.55
4.99

4.07
4.57
4.98

4.07
4.59
4.92

4.04
4.54
4.90

3.95
4.44
4.89

4.03
4.54
4.94

4.05
4.54
5 .00

5.38
5.52
5.61

5.01

5.01

5.00

4.95

4.89

4.97

5.01

5.70

5.87

5.87

5.86

5.85

5.82

5.85

5.86

6.64

5.60

5.60

5.59

5.58

5.57

5.59

5.61

5.82

68.96

68.96

69.05 69.15

69.24

69.07

68.85

66.91

the Federal Reserve Bank of New
Yields on Treasury bills are

17, 1971.

Includes the 7-3/4 per cent note of May
of May 15, 197 3.

15, 1973, and the 4 - 3 / 4 per cent note

Currently includes the following notes:
5-7/8
7
6-1/4
5-3/4

3/

July
13

4.102
4.605

Yields are averages of those computed by
York on the basis of closing bid prices.
computed on a bank discount basis.

* As of July
_L/

release

•'

per
per
per
per

Currently
3 - 1 / 4 per
6 - 1 / 8 per
3 - 1 / 2 per
4 - 1 / 4 per

cent
cent
cent
cent

of
of
of
of

includes
cent of
cent of
cent of
cent of

8/15/75
11/15/75
2/15/76
5/15/76

6-1/2
7-1/2
6-1/4
8

the following bonds due or
1985
4
1986
4-1/8
1990
3
1987-92
3-1/2

per
per
per
per

cent
cent
cent
cent

of
of
of
of

5/15/76
8/15/7 6
11/15/76
2/15/77

callable
per cent
per cent
per cent
per cent

in
of
of
of
of

10 years or more:
1988-93
1989-94
1995
1998

Prices derived from average market yields on the basis of an assumed
cent, 20-year bond.

G O V E R N M E N T FINANCE SECTION, FEDERAL RESERVE BOARD

July

17, 1972

3 per