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FEDERAL

RES L

.<
V E

SFIFOTFD INTEREST RATES AND BOND PRICF‘
<Yields In per cent per annum)
Calendar week ending November 25, 1978

H. 15
Instrument

Federal funds (effective r ite
Commercial paper (prime, 9<
i 119 days),
Conwercial paper (prime, l » to 6 non.) . ,
Finance paper placed directly H to 6 ao«,
Banker*' acceptances (prime, m o days)
Prime loan (large business prime rate-majority)
Discount rate (Federal Reserve Bank of New York)
Yields on U.S. Government securities; -7
Auction Aversge (Issue date)
3-month bill ..........................
6-month bill ..........................
1-year bill
..........................
Market Yields*
3-month bill ..........................
6-month b i l l ..........................
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 1n* 5
3 to 5 years ..........................
Average yialda on corporate bonds tMoody'a) . .
A a a ...................................
State and
A* of
7-day
Bllla

Nov.
20
9.70
10.22
10.30
9.93
10.33
11.00
9.50 |

Nov.
21
9.64
10.15
10.24
9.90
10.35
11.00
9.50

Nov.
22
9. 7&
1 10.06
10.14
9.88
I 10.38
11.00
9.50




* “
M

A
R

e

Nov.
24
9.77
10.09
10.19
9.88
10.55
11.50
9.50

Thla
Week
9.68 2 t
10.13 "
10.22
9.90
10.40
11.50 |
9.50

Last
r Year
Week
L ^8° *
9.68 2/ r c T T
10.28
6.53
6.56
10.38
6.48
9.92
10.47
11.00
7.75
6.00
9.50

8.696
8.996

8.696
8.996

8.593
9.291

6.084
16.385

8.86
9.28
9.33

8.63
9.07
9.1?

8.14
9.08
9.08

6.06
6.37
6.48

10.15
9.60
9.18
8.94
8.88
8.86
8.78
8.79

9.92
9.35
8.96
8.81
8.78
8.78
8.72
8.73

9.RM
9.31
8.95
8.78
8.76
8.77
8.72
8.72

6.91
7.12

T
8.21
8.91
8.99

8.83
9.08
9.09

8.63
9.02
9.06

9.77
9.19
8.85
8.74
8.72
8.72
8.69
8.70

9.89
9.23
8.89
8.77
8. 7b
8.77
8.70
8.71

9.85
9.37
8.92
8.77
8.7/
8.77
8.71
8.71

8.80

8.84

8.86

8.99

8.87

8.93

7.75

9.39
9.00
9.82

9.37
8.9Q
9.82

9.37
9.00
9.82
5.55

9.37
9.00
9.83

9.38
9.00
9.82
5.55

9.40
9.02
9.83
5.50

N 4H
8.07
8.95
5.05

c
L

_____ L

outstanding.

r

For Immediate Release
November 27, 1978

K

local government
(Moody's)........
week ending November ?* ~ i- n 7.
average for state-naur week ended on preceding Wednesday.
quoted on bank discount bisfs.
Yields on actively traded 'miipm adjusted to constant maturities.

Unweighted I W g H of R|\ | . M

Nov.
23

s t aat isset i c a l

Source;

0

s
E
D

U.S. Treasury.

7.30
7.4?

7.54

I

7.73
7.8?

rel e