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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.


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