Full text of H.15 Selected Interest Rates : June 6, 1983
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FEDERAL RESERVE statistical release H.15 (519) For immediate release SELECTED INTEREST RATES JUBE 6, 1983 Yieids in percent per annum Week ending Instruments 3 3 MAY 27 HAY 2 9.38 8.84 8.77 8.77 8.72 8.63 A 8.62 8.71 8.74 8.76 8.82 8.87 8.67 8-72 8.75 8.67 8.71 8.77 8.68 8.74 8.78 8.48 8.54 8.56 8.36 8.33 --6.31 R 8.58 8.48 8.45 8.66 8.55 8.53 8.66 8.53 8.50 8.64 8.55 8.53 8.64 8.53 8.50 8.43 8.37 8.35 8.28 8.19 8. 15 8.85 8.90 8.80 8.85 8-75 8.70 8.80 8.85 8.80 8.83 8.60 8.64 8.36 8.33 8.75 8.93 9.23 1 0.50 8.50 8.88 9.09 9.34 10.50 8.50 8.77 8.85 9.14 10.50 8.50 8.80 8.97 9.24 10.50 8.50 8.80 8.96 9.24 10.50 8.50 8.62 8.75 8.99 10.50 8.50 8.44 8.49 8.62 10.50 8.50 8.650 8.670 8.460 8.470 8.185 8.198 8.050 MAY 31 JUNE 30 M 8.94 MAY FEDERAL FQNCS (EFFECTIVE) 1 / COMMEBCIAL PAPEB 2 / 3 / 1-HONTH 3-MONTH 6-MONTH FINANCE PAPEB PLACED DIRECTLY 2 / 1-110 NTH 3-HONTH 6-HOHTH BANKERS ACCEPTANCES (TOP BATED) 2 / 3-MONTH 6-MONTH CDS (SECONDABT HABKET) 1-MQNTH 3-MONTH 6-MONTH BANK PBIME LOAM 1/ 4 / DISCOUNT HINDOB BOBBOHING 1 / 5 / U.S.GOVERNMENT SECURITIES TREASURY BILLS 2 / AUCTION AVERAGE ( I S S U S DATS) 3-MO NTH 6 - MO NTH 1-YEAH SECONDARY MARKET 3-MONTH 6-HONTH 1-YEAB TREASURY CONSTANT HATOBITIBS 6 / 1-YEAR 2-YBAB 3-YEAR 5-YBAB 7 - YEAR 10-YEAR 20-YEAR 30-YEAR COMPOSITE OVER 10 YEARS (LONG-TERM)7/ CORPORATE fiGUDS (HOODYS) , SEASONED ALL INDUSTRIES AAA BAA STATE & LOCAL BONDS (MOODYS),AAA CONVENTIONAL MORTGAGES 8 / 1 JUNE JUNE JUMB K E T 8.650 8.670 8.63 8.72 8.72 8.58 8.64 8.64 8.50 8.62 8.62 8.55 8.73 8.73 8.57 8.68 8.68 8.48 8.50 8.51 8.19 8.22 8.23 9.48 9.39 9.97 10.14 10.48 10.74 10,77 11.06 10.91 9.36 9.96 10.12 10.46 10.74 10.78 It.10 10.91 9.48 10.01 10.20 10.53 10.78 10.79 11.09 10.93 9.43 9.99 10.17 10.51 10.76 10.79 11.09 10.93 9.23 9.81 9.95 10.32 10.55 10.59 10.90 10.73 8.90 9.49 9.66 10.03 10.30 10.38 10.67 10.53 110.63 10.59 10.61 10.62 10.61 10.43 10.21 12.54 12.54 11.78 13.41 12.53 11.73 13.41 8.95 12.55 11.75 13.41 12.54 11.76 13.40 8.95 12.74 12.49 11.67 13.28 8.75 12.68 12.30 11.46 13.09 8.39 12.63 c i L 0 1IO.O2 110.21 110.55 10.77 10.81 11.12 110.97 1 • c s - E I11.79 113. 36 12.74 D 1. 2. 3. 4. 5. 6. 7. S. WEEKLY FIGURES ARE AVERAGES OF 7 CALENDAR DAYS ENDING ON WEDNESDAY OF THE CURRENT «BEK; MONTHLY FIGURES INCLUDE EACH CALENDAR DAY I N THE MONTH. QUOTED ON BANK-DISCCUNT B A S I S . RATES OH COMMERCIAL PAPER PLACED FOB FIBMS WHOSE BOND BATIHG I S AA OB THE EQUIVALENT. RATE CHARGED BY BANKS ON SHORT-TERM BUSINESS LOANS. RATE FOB THE FEDERAL RESERVE 6AVK OF NEB YORK. YIELDS ON ACTIVELY TRADED I S S U E S ADJUSTED TO CONSTANT MATURITIES. SOUBCB: fl.S. TREASOBY. UNWEIGHTED AVERAGE OF ALL I S S U E S OUTSTAMDIHG OF BONDS NEITHEB DUE HOB CALLABLE I I LESS THAU 1 0 YEARS, INCLUDING SEVERAL VERY LOW YIELDING "FLOSBB" BONDS. CONTRACT INTEREST BATES ON COMMITMENTS FOB F I B S T HOBTGAGES. SOURCE: FHLMC. MOTS: WEEKLY AND MONTHLY FIGURES ABE AVEBAGES OF DAILY BATES, EXCEPT FOB STATE $ LOCAL BOWS AND CONVENTIONAL MORTGAGES, WHICH ABE BASED ON THURSDAY AND FRIDAY FIGURES, BESPBCTIVBLY.