Board of Governors of the Federal Reserve System (U.S.), 1935-. "June 20, 1977," H.15 Selected Interest Rates (June 20, 1977). https://fraser.stlouisfed.org/title/86/item/500866, accessed on July 29, 2025.

Title: June 20, 1977

Author: Board of Governors of the Federal Reserve System (U.S.), 1935-
Date: June 20, 1977
Page 1
image-container-0 ;i i .15 FEDERAL RESERVE 'LaiHf if J I C statistical release SKhKCTKI) INTKRKST RATIOS AND BOND PRICKS (Yield In p«’r cent per anmim) Calendar week end In); Tune I 8, Id// Yea r A g o * Federal funds (effective rate) ................ 5.37 5. TO 5.56 5.38 Instruments June 1 3 5. 37 1/ ~ 5.31 17 " 5. • * / l / Commercial paper (prime, 90 to lid days) . . . . 5.60 5.60 5.60 5.60 5.60 5.60 5.68 5.90 Commercial paper (prime, 6 to 6 mos.).......... 5.50 5.50 5 . 5 0 5.50 5.50 5.50 5.51 6 . 0 0 Finance paper placed directly (J to f» mos.). . . 5.38 5.38 5.38 5.38 5.38 5.38 5.38 5.88 Bankers' acceptances (prime, 90 days).......... 5.6 3 5.6 3 5.6 0 5.39 5.60 5.61 5.6 2 5.76 Prime loan (large business prime rate-majority). 6.76 6.75 6.75 6.75 6.75 6.75 6.75 7.25(on Discount rate (Federal Reserve Bank of New York) 5.25 5.25 5.25 5.25 5.25 5.25 5.25 5.50(on Yields on U.S. Government, securities: 2/ . Auction Average (Issue dale): 3-mouth hll.L....................... 5 . 0 0 0 % • « ' 5 . 0 6 8 6-monLh hill ............................. 5.1 67 \ ' • 2 5.236 L-year bill ............................. Market Yields: j -mouth h i l l ............................. J.Oj j .02 5.02 6.99 3.01 . , J . \j(l .J i jij 6-mouth bill ............................. 5.19 5. I 9 5.20 5.22 5.20 5.20 5.26 5.76 l-year l>Ll. 1 ............................. 5.38 5.38 5.61 5.63 5.60 5.60 5.6 3 6.07 Treasury coupon maturities: 1/ 1-year ............................... 5.81 5.7 7 5.82 5.82 5.80 5.80 5.83 6.68 2-year ............................... 6.11 6.08 6.11 6.12 6.10 6.1 L 6.16 7 .03 3-year ............................... 6.60 6.30 6.36 6.36 6.36 6.35 6.66 7.28 5-year**............................... 6.68 6.7) 6.76 6.72 6.72 6.86 7.58 /-year ............................... 7.02 6.98 7.01 7.02 7.02 7.01 7.13 7.76 10-year ............................... 7.27 7.2 3 7.26 7.26 7.26 7.35 7.86 20-year ............................... 7.66 7.60 7.62 7.66 7.66 7.63 7.68 8.02 30-year ............................... 7.62 7.59 7.60 7.62 7.62 7.61 7.68 n . a . Coupon Issues due in: 6/ 0 to 12 mouths ....................... 5.7 7 5.7 3 5.75 5.75 5.76 5.75 5.80 6.50 3 to 5 y e a r s ......................... 6.59 6.5 3 6.55 6.56 6.55 6.56 6.68 /. 38 10 years or more (long-term) .......... 6.98 6. d 5 6.9 5 6.96 6.96 6.96 7.07 6.9 1 Price of long-term Treasury bonds 5/ 6/ . . . . 57.66 5/ .66 5 7.66 57.59 57.59 57.59 56.81 57.99 Average yields mi corporate bonds (Moody'*;). • • 8. 39 8.3/ 8.36 8.35 8.35 8.36 9.1 5 A a a ......................................... 7.96 7.96 7.9 3 7.92 7.93 7.96 7.98 8.61 B a a ................. 8.89 8.89 8.88 8. 8 / 8.89 8.95 9.8 / State and 1 oea 1 government ( M o o d y 's).......... 5.20 5.30 5.30 5.8 1 June 16 t>. 01 June. 1 5 7-day average for .statement week ended on preceding Wednesday. 2/ B i L L Yields on actively traded issues adjusted to constant maturities. Source: U.S. UnweighLcd average of all issues outstanding. 5/ Bonds neither due nor callable <junlcd on 'ri in Derived from \e n f Tune I < 1 long-term ! '>70 _ June 16 June 17 5. Vi yield above on the basis of an assumed 20-year bond with a • ’ r, a uf,. Th 1 s ' Week For Immediate Tune 20, Id// List ~ Week bank discount basis, usury Department. less than 10 years. 3 per cent coupon. Re 1 ease
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