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FEDERAL RESERVE statistical release
H.15(519)

For immediate release

JOIB 1 3 , 1 9 8 3

SELECTED INTEREST RATES
Yields in percent per annum

instruments

JO JIB

6
FEDERAL FDNDS (EFFECTIVE) 1 /
COMMERCIAL fAPER 2 / 3 /
1-rtOMTH
3-MONTH
6-HGNTH
FINANCE PAPER PLACED DIRECTLY 2 /
1-HO NTH
3-MONTH
6-MONTH
BANKERS ACCEPTANCES (TOP BATED) 2/
3-MONTH
6-MONTH
CDS {SECONDARY HASKET)
1-MONTH
3-MONTH
6-MONTH
BANK PRIME LOAM 1 / 4 /
DISCOUNT IXMDOi B0RR08IHG 1 / 5 /
U.S.GOVEBNHENT SECURITIES
TfiEASURT BILLS 2 /
AUCTION AVERAGE (ISSUE DATS)
3-MOHTH
6-HO NTH
1-YEAB
SECONDARY MARKET
3-MQNTH
6-MONTH
1-IEAR
TREASORY COMSTAMT MATOBITIES 6 /
1-YEAR
2-YEAR
3-YEAR
5-YEAR
7-YEAR
10-YEAR
20-YEAB
30-YEAR
COMPOSITE
OVER 10 YEARS(LCNG-TEaM)7/
CORPORATE BCHDS (MOODYS), SEASONED
ALL INDUSTRIES
AAA
BAA
STATE & LOCAL BONDS(MOQDYS),AAA
CONVENTIONAL MORTGAGES 8 /

1.
2.
3.
4.
5.
6.
7.
8.

JOSE

I

7

JUKI
8

JDMB
9

JUNE
10

Week ending
JOIS
JUNE
10
3

RAY

8.92

8.95

8.8*

8.83

8.75

8.. 84

8.77

8.63

8.76
8.84
8.87

3.88
8.90
8.93

9.00
9.05
9.15

8.94
9.05
9.14

8.91
9.00
9.06

8.90
8.97
9.03

8.68
8.74
8.78

8.36
8.33
8.31

8.78
8.60
8.58

8.85
8.68
8.68

9.00
8.73
8.70

8.93
8.75
8.73

8.91
8.75
8.73

8,89
8.70
8.68

8.64
8.53
8.50

8.28
8. 19
8. 15

8.95
8.95

9.15
9.15

9.25
9.23

9.10
9.15

9.05
9.15

9.10
9. 13

8.80
8.83

8.36
8.33

8.89
9.06
9.36
10.50
8.50

8.97
9.15
9.48
10.50
8.50

9.07
9.30
9.60
10.50
8.50

9.06
9.26
9,53
10.50
8.50

9.04
9.20
9.48
10.50
8.50

9.01
9. 19
9.49
10.50
8.50

8.80
8.96
9.24
10.50
8.50

8.44
8- 49
8.62
10*50
8.50

8.64
8.79

8.65
8.67

8. 19
8.20
8.05

8.76
8.88
8.85

8.57
8.68
8.68

8. 19
8.22
8*21

8.64
8.79
8.64
8.79
8.78

8.82
8.92
8.87

8.83
8.95
8.92

8.74
8.85
8.81

8.78
8.91
8.89

9.53
10.09
10.21
10.54
10.78
10.79
11.06
10.90

9.66
10.18
10.31
10.61
10.85
10.85
11.14
10.97

9.73
10.20
10.35
10.64
10.91
10.92
11.20
11.02

9.58
10.12
10.26
10.63
10.34
10.88
11.13
10.96

9.68
10.20
10.31
10.64
10.87
10.89
11. 14
10.95

9.64
10.16
10.29
10.61
10.85
10.87
11.13
10.96

9*4 3
9.99
10. 17
10.51
10.76
10.79
11.09
10.93

8.90
9.49
9.66
10.03
10.30
10.38
10.67
10.53

10.60

10.66

10.71

10.66

10.67

10.66

10.61

10.21

12.53
11.71
13.40

12.57
11.74
13.41

12.60
11.82
13.44

12.58
11.78
13.45
8.90

12.57
11.79
13.34

12.57
11.77
13.41
8.90
12.82

12.54
11.76
13.40
8.95
12.74

12.30
11.46
13.09
8.39
12.63

12.82

WEEKLY FIGURES ARE AVERAGES OP 7 CALENDAR DAYS EH DING OH WEDNESDAY OP THE CURRENT WEEK;
MONTHLY FIGURES INCLUDE EACH CALENDAR DAY IN THE MONTH.
QUOTED ON BANK-DISCCUNT BASIS.
RATES ON COMMERCIAL PAPER PLACED FOB FIRMS WHOSE BOHD RATIMG I S AA OR THE EQUIVALENT.
BATE CHARGED BY BANKS ON SHORT-TERM BUSINESS LOAMS.
BATE FOB THE FEDERAL RESERVE BANK OF NEW YORK.
YIELDS ON ACTIVELY TRADED ISSUES ADJUSTED TO CONSTAST MATURITIES.
SOURCE: U . S . TREASURY.
UNWEIGHTED AVERAGE OF ALL ISSUES OUTSTANDING OF BONDS NEITHER DOB NOR CALLABLE III LESS THAU 10 YEARS,
INCLUDING SEVERAL VERY LOH YIELDING "FLOHER* BONDS.
CONTRACT INTEREST RATES ON COMMITMENTS FOR FIRST MORTGAGES.
SOURCE: FBLBC.

NOTfix WEEKLY AND MONTHLY FIGURES ARE AVERAGES OF DAILY RATES, EXCEPT FOR STATE S LOCAL BONDS
AND CONVENTIONAL MORTGAGES, WHICH ARE BASED ON THURSDAY AND FfilDAY FIGURES, RESPECTIVELY.