Full text of H.15 Selected Interest Rates : May 16, 1977
The full text on this page is automatically extracted from the file linked above and may contain errors and inconsistencies.
C •'flfv i / o n » f e d e r a l 1 2- R E statistical release A&U , m SCIECTED INTELcsr KATE'S AMO COfJD PRICES ( Yi el d In per cent |irtr rr.iivn) Oa lender week ending M.»y I'}, 1977 M. i ‘j For Immediate Release MAY 16. 1977 1ns t ruments f::y 1? Hay 13 federal funds (*•> feeM ve r a t e ) ................................. 5.33 5.25 5.30 5.09 5.J8 6.25 5.25 5.33 9.313 5.33 5.00 5.43 6.50 5.25 Confrere la 1 paper (prime, 90 to 119 days). . . . Commercial paper (peine, q to b mos. ) ............. Finance paper placed d i r e c t l y (3 In 6 mos), t , Bankers' acceptances ( prime, 90 d a y s ) ................. Prime loan (large business prime rate-maj or lty) Discount rate (fede ral Reserve Dank of flew York); 5 Yields on U.S. Government s e cu r i ti e s : ? / Auction Average ( I s v. •-* da to) 3-month M i l ....................................................... 6-month M i l ....................................................... 4.022 5.131 l ast Week Year Ago* 5. 31- ^ 5.20 5.25 5.00 5.33 6.'30 5.25 5.16^ 4.90 4.90 4.70 5.06 6.25 5.25 5.021j/ 5.39 5.43 5.30 5.39 6.75 5.50 4.022 5.131 4.807 5.052 5.072 5.426 This* Week Market Yields: 3-month b i l l 6-fnonth b i l l I -y ear .......................................................... Trcasur> constant mat uri ti es :? / bill 1- year . . 5.39 5.44 r>. .................... 2 - y o a r ................................... 3- year ................................... 5 - yea r ...................................... 7-year ...................................... 10-year ...................................... 20-y e a r ............................................................... 30-year ............................ Coupon issues due in: A/ 9 to 12 [souths.................................................. 3 to 5 yeais .......................................... 10 years or more* ( long- term) . . . . Price of long-term Treasur/ bonds S ' M . . . Average yields on corporate bonds hV.ruiy1s ) . 7.7 /.Do I 5.7? I > 5.00 5.26 5.49 4.99 5.25 5.45 4.96 5.23 5.46 4.75 5.01 5.20 5.11 5.51 5.89 5.00 6.32 6.60 6.93 7.31 7. SO 7.70 7.05 5.09 6.20 6.54 6.94 7.23 7.40 7.74 7.00 5.05 6.29 6.50 6.98 7.31 7.50 7.70 7.83 5.67r** 6.16 6.49 6.93 7.27 7.46 7.74 7.81 6.29 n.a. 7.10 7.54 7.76 7.93 0.15 n . a. 5.60 5.83 5.86 5.59 6.74 6.79 6.78 6.72 7.21 7.1C 7.20 7.20 55.OQ 55.77 55.81 55.05 8.47 8.40 0.43 0.47 3.06 0.08 0.07 0.04 ................................................................................ 9.00 9.01 9.00 9.03 B a a ................................................................... .... • 5.25 5.25 5.23 State and local »;ovcrn?iKv,t (Mood y ' s ) . . . . _______________ ______ <«J?dn .5day. 2. I’. l l l s quoted on bank discount basis. 7-day" average for r t a a h inert week ended or. preceding Wv'.nsday. Yields on acti vely traded Issues adjusted to constant maturities. Source: U.S. Treasury Department. Unwei ghted average of a l l Issues outstanding. 5/ Ronds neither due nor cal lable In less than 10 yaars. Derived from "long-term" y i e l d nbnv* on the basis of in Assumed 20-year hood with a 3 per cent coupon. 5./6 6.21 7.28 6.98 57.41 9.14 8.56 9.86 5.05