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FEDERAL RESERVE statistical release
SELECTED INTEREST RATES
(Yields in percent per annum)
Calendar week ending July 4, 1980

H.15(519)

Instruments
Federal funds (effective rate) . . .
Commercial paper 2/4/

...

3-month . . . .
6-month . . .
Finance paper placed directly
1-month . . . . .
3-month . . . .
Bankers1 acceptances (prime, 90 days) 2/
CDs (secondary market)

, .

Prime loan (large business prime rate-majority)
Discount rate (Federal Reserve Bank of New York)
U.S f government securities
Treasury bills 2/
Auction average (Issue date)

June
30
10.44

'July1'™
1

For Immediate Release
July 7, 1980

"9.47

July
2
9.10

July
3
9.61

8.86
8.46
8.25

8.85
8.50
8.38

8.68
8.46
8.27

8.60
8.34
8.13

8,00
7,45
7.45
8.75

8.20
7.50
7.50
8.70

8.05
7.68
7.68
8.65

8.23
7.75
7 75
8.55

8.75
8.75
8.89
12,00
11.00

8.63
8.65
8.84
12.00
11.00

8.69
8.67
8.85
12.00
11.00

8.70
8.73
8.80
12.00
11.00

,

10-year
20-year
30-year

This

""•"

Week
9.411/

Last
Week
9.081/

8.75
8.44
8.26

8.39
8.06
7.89

h
R

8.12
7.60
7.60
8.66

7.79
7.38
7.25
8.33

K

. . . .

T

8.69
8.70
8.85
12.001/
11.001,/

8.43
8.41
8.31
12.041/
11.001/

C

8.149
8.097

7.077
7.108

E

.
7.88
7.89
7.84

8.04
7.98
7.96

7.94
7.91
7.90

7.81
7.73
7.73

L

• 7.92
7.88
7.86

7.42
7.48
7.65

8.49*
8.97
9.19*
9.48*
9.73*
10.09
10.08
9.99

8.60
9.01
9.26
9.55
9.80
10.13
10.21
10.12

8.56
9.01
9.18
9.49
9.78
10.19
10.22
10.12

8.37
8.77
8.98
9.36
9.66
10.01
10.09
10.00

e

8.51
8.94
9.15
9.47
9.74
10.11
10.15
10.06

8.23
8.74
8.96
9.23
9.47
9.80
9.86
9.81

11.67
10.84
12.66
7.00

11.47
10.53
12.48
7.00

Treasury constant maturities 3/
2-year
3-year

4
M

8.149
8.097
1-year
Secondary market

July

. . . . . . . . . . .
• . .

. . . . .
...
. . . . . . . . . . .

Corporate bonds (Moody1 s), all industries
» .
11.65
11.68
11.68
11.68
10.76
Aaa
10.83
10.87
10.90
12.67
12.70
12.64
12.63
Baa . . . . . . . .
State and local government Aaa (Moody1s) . . . . . . . .
7.00
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.
http://fraser.stlouisfed.org/
* Revised from numbers published in July 2 6.13.
Federal Reserve Bank of St. Louis

s
E
D