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R E S E R V E

SELECTED INTEREST RATES AND BOND PRICES
('i IrMq In per rent per annum)
Calendar week ending May 2 7 , 1978
Instrument s

Federal funds (effect 1.’ r.n ■). . . .
........
Commercial paper (pi Lme, (,<> I i tif diyi)........
Commercial paper (prime, A ft* A m n s . ) ..........
Finance paper placed direct Iv (1 to 6 mos.) . . .
Bankers' acceptances (prime, 90 .lavs)..........
Prime loan (large busines
.• - iti
' ifity) .
Discount rate (Federal Reserve Hank of New York).
Yields on U.S. Government se ut It ‘eo;
1/
Auction Average (Issue date):
3-month bill ............................
6-month bill ............................
1-year bill
............................
Market Yields:
3-raonth bill ............................
6-month bill ............................
1-year bill
............................
Treasury constant maturitlea: 4/
..............................
1-year
2-year
..............................
3-year
..............................
5-year
..............................
7-year
..............................
..............................
10-year
20-year
..............................
30-year
..............................
Average yields on corporate bonds (Moody *a) . . .
A a a ........................................
B a a ........................................
State and local government Aaa (Moody's)........
2/
3/
4/



Mnv
22
7.51
7.15
7.21
7.03
7.45
8.25
7.00

Mav
23
7.49
7.15
7.21
7.10
7.45
8.25
7.00

Mav
24
7. 36
7.15
7.20
7.10
7.45
8.25
7.00

r e l e a s e

For Immediate Release
May 30, 1978
May
25
7.47
7.15
7.21
7.10
7.45
8.25
7.00

May
26
7.25
7.16
7.22
7.10
7.45
8.50
7,00

6.476
7.141

Year
La at
Week
7.34 2 / 5.45 2
5.50
7.11
5.60
7.15
5.38
7.02
5.52
7.35
6.50
8.25
7.00
5.25

Thin
Week
7.43 2/
7.15
7.21
7.09
7.45
8.50
7.00

6.476
7.141

6.318
7.014

5.143
5.353

6.42
7.11
7. 39

6.48
7.13
7.35

6.51
7.13
7.37

6.50
7.12
7.41

6.63
7.14
7.40

6.51
7.13
7.38

6.32
7.03
7.32

5.06
5.25
5.45

7.93
8.07
8.13
8.22
8.28
8.38
8.46
8.44

7.90
8.07
8.13
8.22
8.28
8.37
8.45
8.44

7.92
8.10
8.15
8.24
8.30
8.39
8.47
8.45

7.97
8.10
8.15
8.26
8.32
8.40
8.48
8.48

7.95
8.10
8.16
8.27
8.34
8.42
8.51
8.50

7.93
8.09
8.14
8.24
8.30
8.39
8.47
8.46

7.86
8.01
8.07
8.17
8.26
8.35
8.44
8.42

5.91
6.27
6.56
6.91
7.21
7.41
7.70
7.76

9.05
8.72
9.54

9.07
8.75
9.56

9.07
8.76
9.54

n.a.
n.a.
n.a.
5.75

n.a.
n.a.
n.a.

9.06p
8.74p
9.55p
5.75

9.02
8.69

8.47
8.04
9.00
5.25

As of week, and ITig Mn
1'■>'■.
7-day average f<»r utiUcvPiiF v.“V
on preceding Wednesday.
Bills quoted on bank dl*» 'in' b-’sCe.
Yields on actively traded Cannes ad lusted to constant maturitlea.

Source:

|v/» cn
o

H.15

\f

statistical

1

F E D E R A L

U.S. Treasury Department.