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FEDERAL

RESERVE

SELECTED INTEREST RATES AND BOND PRICES
(Yields In per cent per annua)
Calendar week ending November 11, 1978

H. IS
Inst rumente

Federal funds (effective rate}..................
O N M M t f l l paper (prime. 90 to 119 dava)........
Co»ercl«l paper (prime, 4 to 6 m o s . ) ..........
Finance paper placed directly (3 to 6 moe.) . . .
Bankers' acceptance* (prime, 90 days) ..........
Prime loan (large business prime rate-waterity) .
Discount rate fFederal Reserve Rank *f ’•*»« York).
Yields on I'.S. Covernmen* securities: i f
Auction Average (Issue dste)
3-month bill
..............
6-month bill
.
........
1-year bill
............................
Market Yields:
3-month b i l l ............ ................
.............................
6-oonth b l K
1-year bill
.......... ............
Treasury constant maturities: 4/
i-vear ................................
2-vear ................................
3 - y e a r ................................
5-year ................................
7-vear .................... ..........
10-year ................................
20-year ................................
30-year ................................
Coupon Issues due In: 5/
3 to 5 year* ..........................
Average yields on corporate bonds (Moody's) . . .
A s a ........................................
B a a ........................................
State and local government Aaa (Moody's). . .




stati sti cal

9.028
9.419

Tills
Last
Week
Week
9.7 r 2 1 r 9.29 2/
10.16 “
9.62 ~
10.27
9.68
9.87
9.26
10.63
10.46
10.50
10.75
9.50
f 9.50

9.028
9.419

8.454
8.98?

6 . 18

T
8.84
9.41
9.27
10.07
9.45
9.08
8.85
8.84
8.85
8.80
8.80

8.99
9.48
9.37

8.82
9.47
9.38

8.51
9.32
9.27

8.79
9.42
9.32

8.71
9.26
9.17

10.18
9.49
9.11
8.87
8.84
8.86
8.80
8.81

10.25
9.50
9.11
8.88
8.85
8.87
8.81
8.82

10.12
9.46
9.09
8.85
8.82
8.86
8.79
8.79

10.16
9.48
9.10
8.86
8.84
8.86
8.80
8.81

9.95
9.44
9.12
8.89
8.82
8.82*
8.80
8.77

9.03

9.07

9.05

9.04

9.05

9.41
9.05
9.79

9.43
9.08
9.84
5.65

9.43
9.06
9.85

9.42
9.06
9.82
5.65

9.39
9.04
9.79
5.70

C
L
0
s
E
D

9.01
9.40
9.06
9.80

9.41
9.07
9.80

7-day average for statement week ended on preceding Wednesday.
Bills quoted on bank discount basis.
Yields on actively traded Issues adlusted to constant maturities.
Unweighted average of all Issues n u ta nd i n g.
October 31 revised to 8.96.

For Immediate Release
November 13, 1978

Nov.
Nov.
Nov.
Nov.
Nov.
6
7
9
10
8
o r
TT5Z“
9.67
9.43
' *.7T
10.10
M
10.18
| 10.15
10.20
10.27
10.29
10.23 i 10.28
9.86
A
9.87
9.86
9.90
10.65
10.60
10.65
10.60
10.75 !
10.75
B
10.75 i10.75
9.50
9.50
9.50 ! 9.50
K
E

release

Source:

U.S. Treasury.

7.3