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FEDERAL RESERVE statistical release
SELECTED INTEREST RATES
(Yields in percent per annum)
Calendar week ending July 18, 1980

H. 15(519)

Instruments
Federal funds (effective rate)
Commercial paper 2/4/
1-month
,
3-month
,
6-month
Finance paper placed directly 2/
1-month . . . . . .
3-month . . . . . . . . .
6 -mon th
. . .
Bankers' acceptances (prime, 90 days) 2/
CDs (secondary market)
1-month
3-month
"
6-month . .
Prime loan (large business prime rate-majority) .
Discount rate (Federal Reserve Bank of New 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

For Immediate Release
July 21, 1980

July
14
9.30

July
15
9.09

July
16
8.33

17
8.64

July
18
8.74

Week
8.981/

Last
Week
9.261/

8.57
8.41
8.27

8.67
8.46
8.36

8.67
8.53
8.40

8.51
8.38
8.23

8.49
8.39
8.24

8.58
8.43
8.30

8.52
8.36
8.21

8.57
8.08
8.08
8.70

8.67
8.10
8.10
8.60

8.38
8.15
8.18
8.48

8.45
8.15
8.18
8 50

8.33
8.15
8.18
8.45

8.50
8.13
8,14
8.55

8.35
7.95
7.92
8.58

8.67
8.76
8.86
11.50
11.00

8.72
8.80
8.97
11.50
11.00

8.70
8.74
8.88
11.50
U.00

8.56
8.58
8.55
11.50
11.00

8.60
8.63
8.67
11.50
11.00

8.169
8.110

8.65
8.70
8.79 /

8.58
8.63
8.61 f
11. 79*11.00-

8,169
8.110

8.209
8.114

8.18
8.16
8.12

8.05
8.01
7.99

7.76
7.78
7.76

7.96
8.00
7.91

7.96
8.00
7.89

7.98
7.99
7.93

8 o 08
8.03
7.91

8.77
9.16
9.37
9.56
9.89
10.33
10.44
10.36

8.66
8.98
9.22
9.45
9.77
10.17
10.29
10.19

8.37
8.79
9.05
9.34
9.65
10.07
10.16
10.05

8.56
8.89
9.16
9,43
9.76
10.21
10.28
10.15

8.51
8.93
9.16
9.42
9.74
10.20
10.29
10.19

8.57
8.95
9.19
9.44
9,76
10.20
10.29
10.19

8.54
8.89
9.16
9.46
9.78
10.18
10.26
10.19

11.81
11.81
11.79
Corporate bonds (Moody1s), all industries
11.75
11.12
11.13
11.09
11.06
Aaa
12.72
12.69
12.61
12.70
Baa
7.50
State and local government Aaa (Moody*s).
1. 7-day average for statement week-ended on preceding Wednesday.
2. Quoted on bank-discount basis.
3. Yields on actively traded issues adjusted to constant maturities. Source: U.S. Treasury.
4. Rates on the commercial paper placed for firms whose bond rating is Aa or the equivalent.


11.75
11.06
12.56

11.78
11.09
12.66
7.50

11.68
10.94
12.61
7,40