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FEDERAL RESERVE statistical release
H.15 (519)

For immediate release
BAY 9 , 1983

SELECTED INTEREST RATES
Yields in percent per annum
Instruments

FEDERAL FUNDS (EFFECTIVE) 1 /
COMMERCIAL SkPEB 2/3/
1-MONTH
3-BONTH
6-BO NTH
FINANCE PAPER PLACED DIBECTLI 2 /
1-flONTH
3-BONTH
6-MONTH
BANKERS ACCEPTANCES (TOP BATED) 2 /
3-BONTH
6-MONTH
CDS (SECONDARY MARKET)
1-MONTH
3-BCNTH
6-BONTH
BANK PRIME LOAN
1/4 /
DISCOUNT WINDOW BORBOMING 1 / 5 /
D.S.GOVERNMENT SECURITIES
TREASURY BILLS 2 /
AUCTION AVERAGE (ISSUE DATE)
3-MONTH
6-BONTH
1-YEAR
SECONDARY MARKET
3-BONTH
6-MONTH
1-YEAR
TREASURY CONSTANT MATURITIES 6 /
1-YEAR
2-YEAR
3-YEAR
5-YEAB
7-YEAR
10-YEAR
20-YEAR
30-YEAR
COMPOSITE
OVEB 10 Y E * 8 S ( L 0 N G - T E B B ) 7 /
CORPORATE BCNDS (MOODYS) 0 S2AS0BE0
ALL INDUSTRIES
'
AAA
BAA
STATE 6 LOCAL 3CNDS(BOODYS),AAA
CONVEBTIOBAL MORTGAGES 3 /

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

HAY
2

SAX
3

BAY
4

BAY
5

HAT
6

Week ending
BAY
APR
6
29

APR

8,77

8.81

8.64

8.69

8.45

8.80

8.58

8.30

8.31
8.25
8.21

8.36
8.27
3.23

8.29
8.20
8.11

8.24
8.15
8.08

8.23
8. 16
8.08

8.29
8.21
8.14

3.36
8.33
8.30

3.58
8.53
8.48

8.23
8.13
3.10

8.38
8.13
8.08

8.16
8.05
8.05

8.08
3.08
8.05

8.16
8.09
8.05

8.20
8.10
8.07

8.34
8.29
8.28

8.52
8.41
3.41

3.20
8.15

8.20
8.10

8.15
8.05

8.15
8.10

8.15
8.05

8.17
8.09

8.29
8.27

8.49
8.43

8.34
8.33
8.39
10.50
8.50

8.35
8.36
8.40
10.50
8.50

8.31
8.31
8.32
10.50
8.50

8.30
8.30
8.31
10.50
8.50

8.30
8.31

8.32
8.32
8.35
10.50
8.50

8.39
8.40
8.56
10.50
8.50

8.60
3.63
8.76
10.50
8.50

3.040
8.050

3. 150
8.220

8.252
8.343
8.275

8.33
10.50
8.50

8.040
8.050

3.05
8.06
8.05

8.04
8.03
8.03

8.01
7.98
7.97

8.06
8.04
8.02

7.98
7.97
7.95

3.03
3.02
3.00

8. 11
8.16
3.16

8.21
8.30
8.29

8.69
9.29
9.54
9.82
10.10
10.26
10.51
10.39

8.67
9.27
9.46
9.81
10.11
10.26
10.50
10.38

8.62
9.19
9.38
9.73
10.02
10.12
10.39
10.27

3.65
9.25
9.39
9.76
10.09
10.16
10.42
10.30

3.58
9.17
9.36
9.74
10.04
10.13
10.41
10.28

3.64
9.23
9.43
9.77
10.07
10.19
10.45
10.32

3.83
9.44
9.68
9.95
10.20
10.33
10.57
10.43

8.98
9.57
9.76
10.02
10.29
10.40
10.63
10.48

10.05

10.04

9.96

9.98

9-96

10.00

10.13

10. 19

12.26
11.35
13.08

12.24
11.33
13.05

12.18
11.28
12.99

12.15
11.27
12.94
8.10

12.12
11. 23
12.91

12.19
11.29
12.99
8.10
12.71

12.35
11.43
13.16
3.20
12.73

12.44
11.51
13.29
8.28
12.78

12.71

WEEKLY FIGURES ARE AVERAGES OF 7 CALBftDAB DAYS ENDING OB WEDNESDAY OF THB CURRENT WEEK;
MONTHLY FIGURES INCLUDE BACH CALBNDAB DAT I B THE HOBTB.
QUOTED ON BANK-DISCOUNT B A S I S .
RATES ON COMMERCIAL PAPER PLACED FOB FIBBS WHOSE BOBD RATING I S AA OB THB EQUIVALENT.
RATE CHARGED BY BANKS ON SHORT-TBBM BUSINESS LOANS.
a%TE FOR THE FEDERAL BESBRVE EANK OF NBW YORK.
YIELDS ON ACTIVELY TRADED ISSUES ADJUSTED TO CONSTANT MATURITIES.
SOURCE: U . S . TBBASUBY.
UNWEIGHTED AVERAGE OF ALL ISSUES OUTSTANDING OF BONDS NBITHBB DUE MOB CALLABLE I N LESS THAN 10 YEARS,
INCLUDING SEVERAL VERY LOW YIELDING -FLOWER" BONDS*
CONTRACT INTEREST RATES ON COMMITMENTS FOB FIRST MORTGAGES.
SOURCES PHLMC.

NOTE: WEEKLY AND MONTHLY FIGURES ABB AVERAGES OF DAILY RATES, EXCEPT FOR STATE £ LOCAL BONDS
AND CONVENTIONAL MORTGAGES, WHICH ABB BASED ON TBUBSDAT AND FRIDAY FIGURES, BSSPSCTIVBLT.