Full text of H.15 Selected Interest Rates : November 13, 1979
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FEDERAL RESERVE statistical release SELECTED INTEREST RATES (Yields in percent per annum) Calendar week ending November 10, 1979 H.15(519) Nov. 5 13.56 Instruments Nov. 6 12,71 For Immediate Release November 13, 1979 Nov. 7 10.90 Nov. 8 13.52 Nov. 9 13.42 This _ ... Week 13.77 2/ 14.11 14.26 13.98 13.96 14.21 13.90 14.03 14.18 13.82 14>07 14.24 13.95 n.a. n.a. n.a. 9.92 10.16 10.27 14.06 12.88 12.25 14.30 13.86 12.88 12.25 14.35 13.75 12.88 12.25 13.95 13.96 12.87 12.25 14.20 n.a. n.a. n.a. 14.11 9.88 9.89 9.85 10.63 14.35 14.60 14.68 15.25 12.00 14.31 14.63 14.70 15.25 12.00 14.17 14.31 14.35 15.50 12.00 14.28 14.53 14.60 15.25 12.00 14.17 14.45 14.49 15.00 12.00 9.89 10.82 11.17 10.61 9.50 12.098 12.086 12.256 12.193 9.028 9.419 Last Week 15.61 11 Year x/ Ago^' 9.77 2/ Commercial paper 37 §J 14.18 14,30 14.11 M Finance paper placed directly"$JJj 14.15 12.85 12.25 14 .,20 A R CDs (secondary market) Prime loan (large business prime rate-majority) . . . Discount rate (Federal Reserve Bank of New York). . ." U.S. government securities Treasury bills 3/ Auction average (Issue date) 14.29 14.56 14.65 15.25 12.00 K E T c 12.098 12.086 L Secondary market 12.06 12.28 11.72 0 12.97 12.15 11.68 11.25 11.03 10.85 10.53 10.42 E S 12.48 12.46 11.91 12.44 12.41 11.76 12.00 11.98 11.23 12.25 12.28 11.66 12.07 12.14 11.65 8.79 9.42 9.32 13.19 12.36 11.70 11.35 11.16 11.00 10.67 10.53 13.12 12.29 11.67 11.28 11.10 10.96 10.61 10.51 12.48 11.78 11.20 10.96 10.83 10.68 10.43 10.34 12.94 12.15 11.56 11.21 11.03 10.87 10.56 10.45 12.91 12.13 11.64 11.25 11.00 10.78 10.44 10.26 10.16 9.48 9.10 8.86 8.84 8.86 8.80 8.81 11.51 11.46 11.22 11.40 11.43 9.04 11.40 10.81 11.96 11.47 10.87 12.05 6.35 11.42 10.81 12.03 11.41 10.83 11.99 6.35 11.32 10.73 11.98 6.35 9.42 9.06 9.82 5.65 Treasury constant maturities ^/ D 11.40 Aaa gaa , # ...... •••... • • • • • • • • 11.37 10.83 11.98 11.37 10.83 11.92 As of week ending November 11, 1978. 7-day average for statement week ended on preceding Wednesday. Quoted on bank-discount basis. Yields on actively traded issues adjusted to constant maturities. Source: U.S. Treasury. Unweighted average for all issues outstanding. Rates on the commercial paper placed for firms whose bond rating is Aa or the equivalent. Year ago data shows maturities for 30-59 days, 90-119 days, and 120-179 days. 1/ Year ago data shows maturities for 30-59 days, 90-119 days, and 150-179 days. 1/ 2/ 3/ 4/