Board of Governors of the Federal Reserve System (U.S.), 1935-. "June 27, 1977," H.15 Selected Interest Rates (June 27, 1977). https://fraser.stlouisfed.org/title/86/item/500867, accessed on July 29, 2025.

Title: June 27, 1977

Author: Board of Governors of the Federal Reserve System (U.S.), 1935-
Date: June 27, 1977
Page 1
image-container-0 Im r r b r 'iu i 'm m i w i m u m o J n m t w t u i T f . f t r * w c r » V 4 H. IS FEDERAL RE SC. RVE statistical SKI.KCTKI) INTKRKST (Y i* • 11 1 In pcr Cn I cndar Federal I nmla (effective. r a t e ) ....... Cominerc la l paper (prLine, 90 Lo 119 days) Commercial paper (prime, A lo 6 m o n . ) . . 11 nance paper placed directly (.3 lo 6 inns.) Banker a* acceptance*, (prime, 90 days) . . Prime loan (large business prime rate-majority) Discount rate (Federal Reserve Hank of New Yoik) Yields on U.U. Covernment securiticH: 2/ Auction Average (Issue date): 3-month bill ........................... G-mont h b11 L l-year bill ........................... Market Yields: ^-mouth M i l ........................... 6-month bill ........................... 1-year bill ........................... Treasury coupon maturities: 3/ 1- year ............................ 2- year ............................ 3- year ............................ 6- y e a r ............................ 7- year ............................ 10-year ............................. 20-yenr ........................................................................ 30-year ............................. Coupon issues due in: A/ 9 to 12 months ..................... 3 to 5 years ....................... 10 years or more (long-term) .......... Price of long-term Treasury bonds 5 / U / . . . . Average yields on corporate bonds (Moody's). . . A a a ....................................... B a a ....................................... State and local government j[Moody's). . . . . •/ 7-day average for statement week ended on pr HATI’ .S Af.'I) BOND PRICKS c.cnL per .minim) week Mlding dun< • 25, 197/ dune 27, 19// dune dune dune .June dune ~hast ‘ Year” 20 .. 2 1 22 * ’ 1 2 A Week Week Ago* ' 3 . 19 5. 36 3" . n ' 5. A0 5.43 5. A fl'/ *5.1/ 17 ’ 5 * . A!l3 . A0 5. A0 5 .A0 3. AO . AO 5. A0 5. A0 5.78 3.30 3. A 3 5.50 5. A3 5.50 5.A8 5.50 5.90 5.38 5.38 5.38 5.38 5.38 5.38 5. 18 5.75 3. A0 5.39 5.39 5.38 5.39 5. A L 5.69 6.73 6.75 6.73 6.75 6.75 6.75 6.75 7.25 5.23 5.23 5.25 3.25 5.25 5.25 5.23 5.50 5.01 5.0; 5.0:.’ 3.02 A . 98 5.03 5.0. 5. 5.22 5.23 5.22 5.23 5.19 5.22 5.20 5.71 5.A2 5. A 2 5. A l 5. A 3 5.39 5.A1 5. A0 6.06 5.7R 5. HI 5.82 5.8 A 5.70 5.79 5.80 6.A5 6.11 6.12 6.12 6.12 6.10 6. 11 6.11 7.00 6.36 6.35 6.8 A 6.36 6.3 A 6.35 6. 15 7.2A 6.7A 6.7 A 6.70 6.72 6.63 6.72 6.72 7.53 7.0A 7.01 7.00 7.01 6.97 7.01 7.01 7.68 / .21 7.26 7.2 5 7.26 7.20 7.25 7.2 A 7.HI 7.65 7. o5 7.63 7.6 A 7.60 7.63 7.63 7.99 7.6 1 7.62 7.61 /.hi 7.59 7.61 7.61 5.76 5.76 5.75 5.73 5.72 5.7A 5.75 6.AA 6.57 6.55 6.53 6.5A 6. A 9 6.5 A 6.56 7.32 6.97 6.97 6.95 6.95 6.91 6.95 6.96 6.9 L 57.51 37.51 57.66 57.66 57.96 5 7.66 57.59 57.99 8.35 8.36 8.35 8.34 8.3A 0.35 8.36 9. IA 7.9 A 7.96 7.9A 7.92 7.92 7.9A 7.9A 8.60 8.87 8.88 8.87 8.89 8.88 8.88 8.89 9.87 5.20 5*20 5.20 3.81 ed (ng Wednesday . 5.012 5.012 5.000 5.356 5.222 5.222 3.167 5.722 r e l e a s e This 2/ liJ lli; quoted on bank discount basi Yi. Ids on actively traded issues adjusted Lo constant, maturit les. Source: U.S. Treasury Department. ./ ’ana i/Jited average ol all Issue*; outstanding. 5/ Bunds neither due nor callable In lens than 10 years 6/ l ) r!\ ul from "long-term" yield above on the basis ol an assumed 20-year bund with a 3 per cent coupon. > ’ * Ai ol week ending June 26, 1976. r n.n. 17
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