Full text of H.15 Selected Interest Rates : November 20, 1978
The full text on this page is automatically extracted from the file linked above and may contain errors and inconsistencies.
:v. F E D E R A L RESERVE statistical SFLFCTEP INTEREST RATES AJ D BOND PRICES O I el d ® in per cent p« r annum) Calendar week ending Novei ber 18, 1978 H. IS Inst rument e Federal funds (effective rate). . . . . Commercial paper (prime, 90 to 119 days*! Conanercial paper (prime, 4 to 6 mos.) . . . Finance paper placed directly (3 to A m-u».) ! Bankers' acceptances (prime, 90 days) , Prime loan (large business prime rate-majoril y) . Discount rate (Federal Reserve Rank of \>v Vi rk). Yields on U.S. Government securities: i t Auction Average (Issue date! 3-month bill ................. 6-month bill ............... l-year bill ...............* Market Yields: 3-month bill ................. 6-month bill ..................... 1-year bill ..................... Treasury constant maturities; 4 / 1-y e a r ..................... *. 2- year ..................... 3- year ..................... 5-year ....................... 7-year ....................... 10-year , ................. 20-year ..................... 30-year ..................... Coupon issues due in: 5/ 3 to 5 years . , . ............ Average yields on corporate bonds (Moody's) A a a ..................... Baa ........... .. State and local government A aa (Moody's). 1 / As of week ending November 19, 1977. • • Nov, 13 9.80 10.25 10.32 9.90 10.50 10. 75 ■ Nov. 14 9.Jb 10.21 1 0 .3 ; 9.9 10.5110. 7b 9.51* release For Immediate Release November 20, 1978 Nov. Nov. 15 16 9.46 " ~ n r 10.30 10. 31 10.41 10.40 9.93 9.93 10.53 10.44 10.75 10.75 9.50 9.50 Nov. 17 IT. 64 10.30 10.39 9.93 10.40 11.00 9.50 8.593 9.291 9. 11 i this Week 976$ h 10.28 10.38 9.92 10.47 11.00 9.50 10.16 10.27 9.87 10.63 10. 75 «.50 6.54 6.59 6.49 6.57 7. 75 6.00 8.593 9.291 9.028 8.419 6.092 6. 373 Year Aon 1/ 9.7T2 ~ T S F 7 7 8.23 9. 30 9.2b 8. 30 9.19 9. 19 8.02 8.99 9.01 8.17 9.00 9.02 7.98 8.90 8.94 8. 14 9.08 9.08 8. 79 9.42 9. 1? 6.07 6. 38 6.49 10.10 9.40 9.06 8.86 8.82 8,83 8. 76 10.02 9.41 9.04 8.84 8.80 8.82 8.75 8.76 9.81 9.34 8.95 8.76 8.75 8.76 8.69 8.69 9.82 9.21 8.85 8.71 8.70 8.72 8.68 8.69 9.72 9.19 8.84 8.72 8.71 8.72 8.69 8.69 9.89 9.31 8.95 8.78 8. 76 8.77 8.72 8.72 10.16 9.4R 9. 10 8.86 8.84 8.86 8.80 8.81 6.92 7. 11 7.17 7.27 7.41 7.55 7. 74 7.R3 9.04 9.09 8.89 8.81 8.80 8.93 9.04 7.24 9.42 9.06 9.83 9.42 9.04 9.83 9.40 9.01 9.83 9.39 9.01 9.83 5.50 9.39 9.00 9.84 9.40 9.02 9.83 5.50 9.42 | 9.06 9.82 5.65 8.49 8.07 8.96 5.15 • • preceding Wednesday. Bills quoted on bank discount basis. ^Unweighted ? ! h^ / average CtlV e ly of t ^ adTd l "R',e8 outstanding. ',d ' u''t,,d to constant m a tu ritie s. il Issues Last Week Source: U.S. Treasury. • *