Full text of H.15 Selected Interest Rates : November 13, 1978
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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