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FEDERAL RESERVE statistical release
H.15(519)

For immediate release
HAY 2 , 1983

SELECTED INTEREST RATES
Yields in percent per annum
,
Instruments

FEDERAL FUNDS (EFFECTIVE) \/
COMMERCIAL FAPEF 2/3/
1-MO NTH
3-MONTH
6-MONTH
FINANCE PAPEB PLACED DIRECTLY 2 /
1-MONTH
3-MONTH
6-MONTH
BANKERS ACCEPTANCES (TOP HATED) 2 /
3-MONTH
6-MO NTH
COS (SECONDARY MARKET)
1-HONTH
3-MGNTH
6-MONTH
BANK PRIME LOAN
1/ 4 /
DISCCUNT WINDOW BORROWING 1 / 5 /
O.S.GOVERNMENT SECURITIES
TREASORY BILLS 2 /
AUCTION AVERAGE (ISSUE DATE)
3-MONTH
6-MONTH
1-YEAR
SECONDARY MARKET
3-MONTH
6-MO NTH
1-IEAR
TREASURY CONSTANT HATURITIES 6 /
1-YEAR
2-YEAR
3-YEAR
5-YEAR
7-YEAR
10-YEAfl
20-YEAR
30-YEAR
COMPOSITE
OVER 10 YEABS(LONG-TEBM)7/
CORPORATE BONDS (MOODYS)0 SEASONED
ALL INDUSTRIES
AAA
BAA
STATE & LOCAL BONDS(MOODYS),AAA
CONVENTIONAL MORTGAGES 8 /

1.
2.
3.
4.
5.
6.
7.
8.

APR
26

APR
27

AP
R
28

AP
R
29

This
week

8.48

8.45

8.90

8.83

8.84

8.58

8.70

8.80

8.38
8.38
8.36

8.36
8.36
8.32

8.34
8.31
8.28

8.30
8.27
8.25

8-41
8.33
8.28

8,36
8.33
8.30

8.47
8.43
8.38

8.58
8.53
8.48

8.43
8.30
8.30

8.34
8.30
8.30

8.30
8.30
8.30

8.28
8.26
8.25

8.33
8.28
8.25

8.34
8.29
8.28

8.46
8.33
8.33

8.52
8-41
8.41

8.35
8.35

8.30
8.30

8.25
8.25

8.30
8.25

8.25
8.20

8.29
8.27

8.45
8.39

8.49
8.43

8.46
8.49
8.63
10.50
8.50

8.39
8.43
8.62
10.50
8,50

8.38
8.37
8.57
10.50
8.50

8.38
8.39
8.53
10-50
8.50

8.34
8.34
8.47
10.50
8.50

8.39
8.40
8.56
10.50
8.50

8.52
8.57
8.71
10.50
8*50

8.60
8.63
8.76
10.50
8.50

8.150
8.220

8.030
8.200
8-275

8.252
8.343
8.275

8.150
8.220

8.15
8.22
8.23

8. 14
8.21
8.22

Last
week

APB

8.10
8.15
8.14

8.10
8.13
8.12

8.08
8.09
8.09

8.11
8.16
8.16

8.12
8.27
8.29

8.21
8.30
8.29

8.92
9.52
9.77
10.01
10.29
10.. 40
10.64
10.48

8.89
9-49 /
9.74
10.02
10.24
10.37 .
10.61
10.47

8.79
9.42
9.67
9.92
10.17
10.29
10.56
10.43

8,79
9.42
9.63
9.91
10.17
10.31
10.54
10.41

8«75
9.35
9-58
9.88
10- 15
10.27
10.52
10.38

8.83
9.44
9.68
9.95
10.20
10.33
10.57
10.43

8.98
9.57
9.77
10.02
10.28
10.38
10.62
10.47

8-98
9.57
9-76
10.02
10.29
10.40
10.63
10.48

10.20

10. 18

10.11

10.10

10.07

10.13

10. 18

10. 19

12.38
11.48
13.20

12.39
11.48
13.20

12.35
11.42
13.17

12.33
11.39
13.13
8.20

12.31
11.36
13. 11

12.35
11.43
13. 16
8.20
12-73

12.38
11.46
13.25
8-30
12.75

n.a.
n.a.
n.a.
8.28
12.78

12.73

MEEKLY FIGUBES ARE AVEBAGES OF 7 CALENDAR DAYS ENDING ON WEDNESDAY OF THE CURBENT WEEK;
MONTHLY FIGUBES INCLUDE EACH CALENDAR DAY IN THE MONTH.
QUOTED ON BANK-DISCCUNT B A S I S .
RATES ON COMMERCIAL PAPEB PLACED FOB FIBMS WHOSE BOND RATING I S AA OR THE EQUIVALENT.
SATE CHARGED BY BANKS ON SHCRT-TERM BUSINESS LOANS.
RATE FOB THE FEDERAL BESEBVE EANK OF NEW YORK.
YIELDS ON ACTIVELY TRADED ISSUES ADJUSTED TO CONSTANT MATURITIES. SOUBCE: 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" BONDS.
CONTBACT INTEREST RATES OH COMMITHENTS FOR FIBST MORTGAGES. SOURCE: FHLMC.

NOTE: WEEKLY AND MONTHLY FIGUBES ABE AVERAGES OF DAILY RATES, EXCEPT FOR STATE 5 LOCAL BONDS
AND CONVENTIONAL MORTGAGES, WHICH ABE BASED ON THURSDAY AND FBIDAY FIGURES, RESPECTIVELY.