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FEDERAL RESERVE statistical release
For immediate release

H.15 (519)

JUNE

SELECTED INTEREST RATES

7, 1982

Yields in percent per annum
Instruments

FEDEBAL FUNDS (EFFECTIVE) 1 /
COMMERCIAL PAPER 2 / 3 /
1-MONTH
3-MONTH
6-MONTH
FINANCE PAPES PLACED DIRECTLY 2 /
1-MONTH
3-MONTH
6-MONTH
BANKERS ACCEPTANCES (TOP RATED) 2 /
3-flONTH
6-MONTH
CDS (SECONDARY MARKET)
1-HON1H
3-MONTH
6-MONTH
BANK PRIME LOAN 1 / 4 /
DISCOUNT iilNDOH BORROWING 1 / 5 /
O.S.GOVERNMENT SECURITIES
TREASURY BILLS 2 /
AUCTION AVERAGE (ISSUE DATE)
3-MONTH
6-MONTH
1-YEAR
SECONDARY MARKET
3-MONTH
6-MONTH
1-YEAR
TREASURY CONSTANT MATURITIES 6 /
1-YEAR
2-YEAR
3-YEAP
5-YEAR
7-YEAR
10-YEAR
20-YEAR
30-YEAR
COMPOSITE
OVER 10 YEARS(LONG-TERM)7/
CORPORATE BONDS (HOODYS)# SEASONED
ALL INDUSTRIES
AAA
BAA
STATE & LOCAL BONDS(HOODYS)#AAA
CONVENTIONAL MORTGAGES 8 /

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

JUNE
2

JUNE
3

JUNE
4

This
week

Last
week

13.76

13.05

13.54

13.55

13.43

13.70

14.45

A

13.22
13.05
12.88

13.42
13.23
13.04

13.37
13.32
13.04

13.45
13.31
13.05

13.37
13.23
13.00

13.15
13.03
12.76

13.79
13.42
13.02

R

13.18
12.43
12.13

13.29
12.43
12.18

13.35
12.68
12.18

13.30
12.70
12.18

13.28
12.56
12.17

12.89
12.39
12.19

13.49
12.75
12.61

K

13.15
12.95

13.25
13.05

13.20
12.95

13.35
13.10

13.24
13.01

12.99
12.75

13.29
12.90

13.43
13.49
13.67
16.50
12.00

13.66
13.82
13.77
16.50
12.00

13.60
13.73
13.75
16.50
12.00

13.67
13.82
13.85
16.50
12.00

13.59
13.72
13.76
16.50
12.00

13.43
13.44
13.60
16.50
12.00

13.95
13.80
13.77
16.50
12.00

11.520
11.589

11.480
11.677

12.148
12.220
12.194

MAY
31

JUNE
1

MAY

M

E

T

11.520
11.589
12.01
12.03
12.01

12.06
12.08
12.06

12.07
12.08
12.06

12.22
12.29
12.23

12.09
12.12
12.09

11.54
11.72
11.71

12.09
12-16
11.98

13.37
13.92
14.00
13.98
14.07
13.93
13.90
13.66

13.43
13.95
13.99
13.96
14.03
13.86
13.88
13.60

13.42
13.90
13.94
13.94
14.04
13.90
13.89
13.66

13.63
14.03
14.03
14.03
14.12
13.98
14.01
13.76

13.46
13.95
13.99
13.98
14.07
13.92
13.92
13.67

13.00
13.63
13.71
13.74
13.78
13.66
13.53
13.29

13.34
13.78
13.77
13.75
13.74
13.62
13.46
13.24

S

13.08

13.01

13.06

13.16

13.08

12.72

12.67

E

15.44
14.40
16.73

15.50
14.47
16.80

15.55
14.53
16.83
11.00

15.59
14.61
16.85

15.52
14.50
16.80
11.00
16.65

15.35
14.21
16.69
11.00
16.63

15.34
14.26
16.64
11.05
16.68

C

L

0

D

16.65

WEEKLY FIGURES ARE AVERAGES OF 7 CALENDAR DAYS ENDING OH WEDNESDAY OF THE CURRENT WEEK;
MONTHLY FIGURES INCLUDE EACH CALENDAR DAY IN THE MONTH.
QUOTED ON BANK-DISCOUNT BASIS.
RATES ON COMMERCIAL PAPER PLACED FOR FIRMS WHOSE BOND BATIHG IS AA OR THE EQUIVALENT.
RATE CHARGED BY BANKS ON SHORT-TERM BUSINESS LOANS.
RATE FOR THE FEDERAL RESERVE BANK OF NEW YORK.
YIELDS ON ACTIVELY TRADED ISSUES ADJUSTED TO CONSTANT MATURITIES. SOURCE: U.S. TREASURY.
UNWEIGHTED AVERAGE OF ALL ISSUES OUTSTANDING OF BONDS NEITHER DUE NOR CALLABLE IN LESS THAN 10 YEARS#
INCLUDING SEVERAL VERY LOW YIELDING "FLOWER" BOHDS.
CONTRACT INTEREST RATES ON COMMITMENTS FOR FIRST MORTGAGES. SOUBCEi FHLMC.

NOTE: WEEKLY AND MOMTHLY FIGURES ARE AVERAGES OF DAILY RATES, EXCEPT FOR STATE S LOCAL BONDS
AND CONVENTIONAL MORTGAGES, WHICH ARE BASED OH THURSDAY AHD FBIDAY FIGURES, BESPECTIVELY.