View original document

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.

•

*