Full text of H.15 Selected Interest Rates : May 5, 1975
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wH ttOH i W , i > \ r • h U ' i k U A & M ~ i •:::•. *1 Vti'lll: ✓ . W' •.'V ; w ; V ' *.".7 Ti»- •’ l -s . c c y e r ::m e n t s e l t j t v y i e l d s a n d Ca_en-a r week o .zinc. !!.iv 3, 19 75 prices - w m t m m i k iist m 5re_cs (per cent per annum) Auction Averace: 6-n cn t% ^■v c Market Y i e l d s : 3-month bills 5.* *J 6 .i i j 6 .‘ 3 i.—veer billc Other issues, due in 9-12 months 1 / Issues, due in 3-5 years 2/ lends, cue cr callable in ij yrs. or more 3/ i conus, cue cr callable in1 -C vrs. cr mere 4 / 1 ! 56 .< -«'0-C: ; i i 5. 50| 5.50 5.91 i 1 5.94 6.33j 6.40 6 --j M l 1 1 1 i i 1 i 0 .V. / j :•. /7 0 ! I 1 5.31 j 5.51 8 .Si 5.78 5.95 6 .0? 6.14 ; 6.36 ! 6.4? Eis 1 i 6.53 6.31 6.91 9.10 6.82! 6.83 1 7.89: 7.92i 7.70 ! i 7.10 ! 7.09 | 7.03 I i I 1 1 „ ! 06.00 ♦ ; oo.63il 57.07 l Yields are averaces York on closing bid prices'. * on a oaz.rt discount basis 7.87 7.90 7.09 7.os j 7.11 56.63 I ! 1 j 56.49 56.72 1 Yields on'lreasury bills are’ ”co: 1/ Currently includes the 3-7/8 per cent ote of February 15, 1976, the 6-1/4 ce: cent ncte of February 15, 197*6, and tl •' S per cent note 2/ Currently includes the following note* end bonds: /-1 /S per cent of 5/15/75 6-1/4 5- 2/1 per cent of 8/15/7S 6-5/5 6 per cent of 11/15/78 7 7- 7/5 per cent of 5/15/79 4 per per per per cent cent cent cent of of of of 6/15/79 11/15/79 11/15/79 2/15/60 3/ Currently includes the following bonds due or callable j Ln 10 years or more 3-1/4 per cent of 19S5 7-1/2 per cent of 1988-93 6- 1/6 per cent of 1986 4-1/8 per cent of 1989-94 3-1/2 per cent of 1990 3 per cent of 1995 8- 1/1 per cent c: 1990 7 per cent of 1993-98 ^-1 /i per cent of 1957-92 3-1/2 per cent of 199S * per cent of 1955-93 6-1/2 per cent of 1994-99 6-3/4 per cent of 1993 7-7/6 per cent of 1995-00 — / rrice- derived iron average market vie ds on the basis o f an assured 3 per cent 20-year bond. H GCvcRNIDm,. FINANCE SECTION, FEDERAL RlrERVE BOARD MAY 5, 1975 3.29 & OHt Wt m