Full text of H.15 Selected Interest Rates : July 5, 1966
The full text on this page is automatically extracted from the file linked above and may contain errors and inconsistencies.
o py CQ V/ F statistical H.15 E D E R A L S E R V E release June 28 June 29 Yields (per cent per annum) Auction averaee: 3-month bills 6-month bills Market yield: 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/ Price Bonds, due or callable in 10 years or more 4/ * E U. S. GOVERNMENT SECURITY YIELDS AND PRICES Calendar week ending July 2, 1966 June 27 Note: R June 30 July 1 Weeklv average Last This Year ago* week week 4.435 4.610 4.435 4.610 4.470 4.591 3.784 3.824 4.33 4.54 4.76 4.38 4.63 4.82 4.43 4.65 4.84 4.64 4.58 4.76 4.84 4.93 . 4.97 4.47 4.68 4.86 4.39 4.53 4.66 3.81 3.85 3.86 4.84 4.88 4.88 5.00 5.04 4.93 4.87 3.95 5.04 5.09 5.09 5.17 5.18 5.11 4.95 4.08 4.63 4.67 4.68 4.72 4.73 4.69 4.59 4.14 78.89 78.45 78.33 77.89 77.79 78.27 79.36 84.62 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 on a bank discount basis. As of July 3, 1965. 1/ Currently includes the 4-1/4 per cent note of May 15, 1967. 2/ Currently includes the following note and bonds: 4 per cent bond of 10/1/69 4 per cent bond of 8/15/70 5 per cent note of 11/15/70 4 per cent bond of 2/15/70 3/ Currently 3-1/4 per 4 per 3-1/2 per 3-1/4 per 3-1/2 per includes the following bonds due or callable in 10-years or more: cent of 1978-83 4-1/4 per cent of 1987-92 per cent of 1988-93 cent of 1980 4 4-1/8 per cent of 1989-94 cent of 1980 3 per cent of 1995 cent of 1985 3-1/2 per cent of 1998 cent of 1990 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 5, 1966