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F E DE RA

E S E k VE

Instrument s

May
1
7.27
6.92
6.99
6.78
7.18
8.00
6.50

May
2
7.26
6.94
6.99
6.83
7.18
8.00
6.50

Yields on actively traded

May
3
7.46
6.94
6.99
6.85
7.13
8.00
6.50

For Immediate Release
May 8, 1978

May
4
7.27
6.94
6.99
6.85
7.15
8.00
6.50

May
5
7.29
6.94
7.01
6.85
7.25
8.25
6.50

6.460
6.935

This
Week
7.27 2/
6.94 *
6.99
6.83
7.18
8.25
6.50

hast
Week
7.00 2/
6.87
6.91
6.74
7.06
8.00
6.50

Year
Ago
v n
4.90
4.98
4.78
5.06
6.25
5.25

6.460
6.935

6.294
6.777

4.807
5.052

7.072
6.31
6.85
7.16

6.46
k 6.93
7.16

6.39
6.90
7.14

6.33
6.87
7.13

6.43
6.96
7.21

6.38
6.90
7.16

6.26
6.80
7.06

4.75
5.01
5.28

7.68
7.91
7,98
8.08
8.15
8.24
8.37
8.38

7.68
7.91
7.97
8.09
8.15
8.25
8.38
8.38

7.65
7.91
7.98
8.08
8.15
8.28
8.40
8.40

7.64
7.90
7.97
8.07
8.14
8.27
8.39
8.39

7.74
7.96
8.04
8.15
8.22
8.34
8.45
8.45

7.68
7.92
7.99
8.09
8.16
8.28
8.40
8.40

7.57
7.87
7.95
8.05
8.13
8.21
8.36
8.38

5.67
6.16
6.49
6.93
7.27
7.46
7.74
7.81

8.96
8.63
9.41

8.96
8.63
9.41
5.45

8.96
8.63
9.41

8.95
8.62
9.41
5.45

8.93
8.59
9.38
5.45

8.47
8.04
9.03
5.23

Average yields on corporate bonds (Moody's) .
8.94
8.95
A a a ..................... ................
8.59
8.61
Baa
. . . . .............................
9.40
9.40
State and local government Aaa (Moo d y 's ) . . .
IV As of week ending May 7, 1977.
2/ 7-day average for statement week ended on preceding Wednesday.
3/ Bills quoted on bank discount basis.




release

issues adjusted to constant maturities.

Source:

U.S. Treasury Department.

j

Federal irunds (effective rate).............
Commercial paper (prime, no to 1L9 days). .
Commercial paper (prime, 4 to 6 m o s .) . . .
Finance paper placed directly (3 to 8 mos.)
Bankers' acceptances (prime, 90 days) . . .
Prime loan (large business prime rate majority)
Discount rate (Federal Ke*e‘v» Bank <<f ‘lew York)
Yields on U .S . Oove mine at ecutft le s : 3/
Auction Average (Issur
at e) :
3-month bill
. . .
6-month bill
. . .
1-year bill
...
Market Yields:
3-month bill
. . .
6-month bill
. . .
1-year bill
. . .
Treasury constant maturities
4/
1year
2year
3-year
5-year
7-year
10-year
20-year
30-year

4/

statistical

SELECTED INTEREST RATES AND BOND PRICES
(Yields in per cent per annum)
Calendar week ending May 6, L978

H.15

*

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