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FEDERAL
mill

RESERVE

statistical

H. 15

U. S. GOVERNMENT SECURITY YIELDS AND PRICES
Calendar week ending June 27, 1970

1

June
22

June
23

June
24

Yields (per cent per annum)
Auctions average:
3-month bills
6-month bills

Prices
Bonds, due or callable
in 10 years or more 4/
Note:

June
25

f
June
26

6.626
6.929

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/

"

release

Weekly averages
This
Last
Year
week
week

6.626
6.929

6.733
6.947

6.524
6.866

6.54
6.83
7.12

6.54
6.83
7 .06

6.62
6.84
7 .07

6.41
6.74
7.04

6.38
6.74
7.02

6.50
6.80
7 .06

6.71.
6.96
7 .17

6.29
6.84
7 .09

7.51

7 .46

7 .44

7.41

7 .40

7.44

7.55

7 .28

7 .92

7.88

7.88

7.87

7 .87

7.88

7.95

6.77

6.99

6.88

6.84

6.86

6.90

6.89

7 .05

6.04

57 .36

58.18

58.49

58.33

58.03

58.08

56.91

64.96

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 June 28, 1969.

1/

Currently includes the 5-1/4 per cent note of May 15, 1971, and the
note of May 15, 1971.

2/

Currently
4
per
8-1/8 per
4-1/8 per
4-1/8 per
4-1/4 per

includes the
cent bond of
cent note of
cent bond of
cent bond of
cent bond of

3/

Currently
3-1/2 per
3-1/4 per
3-1/2 per
4-1/4 per

includes
cent of
cent of
cent of
cent of

4/

Prices derived from average
cent, 20 year bond.

following notes and bonds:
nas:
8/15/73
5-5/8 per cent note of
8/15/73
3-7/8 per cent bond of
11/15/73
5-3/4 per cent note of
2/15/74
5-3/4 per cent note of
5/15/74
6
per cent note of

the following bonds due or callable in
1980
4
per cent
1985
4-1/8 per cent
1990
3
per cent
1987-92
3-1/2 per cent

10
of
of
of
of

per cent

8/15/74
11/15/74
11/15/74
2/15/75
5/15/75

years or more:
1988-93
1989-94
1995
1998

market yields on the basis of an assumed 3 per

GOVERNMENT FINANCE SECTION, BOARD OF GOVERNORS

June 29, 1970