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M

k r

federal

res e r v e

statistical

H. 15

Oct.

Inst ruments

2

Federal funds (effect Ore t ii-m .
Cotmierc la 1 paper (prime, »" io l'i d,
Commercial paper (prim.*, >
> m .
Finance paper placed d (><■ ♦ i
1 t
Bankers' acceptance^ pi .
Prime loan (1arge hue:n.prime rat mn
Discount rate (Federal
r
orve
Hank
N'
Yields on U.S. Government seenr 11 les
1,
Auction Average (!• :nr date)•
3-month bill ..............
6-month bill ..............
1-year bill
..............
Market Yields:
3-month bill ..............
6-month bill ..............
1-year bill
..............
Treasury constant maturities
1year ...........
2year ...........
3year ...........
5-year ................
7-year ................
10-year ................
2 0 - y e a r ................
30-year ................
Coupon Issues due In: 5/
3 to 5 years
. .

8.9 6
8.63
8.68
8.67

8 . 8 r»
tyl
ork)

9.75
8 .0 0

Oct.
3
8.83
8.67
8.71
8.53
8.85
9.75
8.00

8.68
8.70
8.75
8.53
8.86
9.75
8.00

Oct.
5
8.75
8.73
8.77
8.55
8.91
9.75
8.00




For Inmediate Release
October 10, 1978
Oct.
6
8.71
8.78
8.86
8,61
8.98
9.75
8.00

8.161
8.377

7.Q8

This
Week
” 8.85 2/
8.70
8.75
8.56
8.89
9.75
8.00

Last
Week
8.62 2/
8.56 '
8.60
8.37
8.82
9.75
8.00

Year
Ago
6.61
6. lb
6.39
6.23
6.68
7.50
5.75

8.161
8.377

8.106
8.276

6.108
6.286

8.16
8.38
8.20

8.18
8.60
8.22

8.19
8.61
8.25

8.19
8.62
8.28

8.16
8.39
8.23

7.96
8.28
8.16

6.0Q
6.31
6.38

8.68

8.85
8.69
8.50

8.53
8.57
8.58
8.65
8.63

8.55
8.57
8.66
8.63

8.87
8.69
8.51
8.53
8.56
8.59
8.65
8.63

8.89
8.69
8.51
8.53
8.56
8.60
8.65
8.66

8.92
8.69
8.69
8.51
8.56
8.58
8.62
8.61

8.88
8.69
8.50
8.52
8.56
8.58
8.66
8.63

8.81
8.73
8.69
8.52
8.56
8.55
8.61
8.59

6.79
6.88
6.97
7.18
7.3?
7.63
7.63
7.71

8.68

8.68

8.68

7.05

9.12
8.85
9.67

9.10
8.81
9.68
5.50

9.08
8.77
9.66
5.60

8.36
7.99
8.8?
5.30

8.21

8.86
8.71

8.69
8.68
8.68
8.68
Average yields on corporate bonds (Moody'st.
9.09
9.09
9.09
9.11
Aaa
..................................
8.79
8.79
8.79
8.83
Baa
................
9.69
9.68
9.67
9.67
State and local governing
< i.
5.50
17 A* of w c k ending October 8, 1o7 7 .
2/ 7-day average for statement w»u*k ended on preceding Wednesday.
3/ Bills quoted on hank d In -.Mint b.acin.
Yields on actively trad *jd • r 1■« ;i 1iu*(< d to cons tan t matur 11 les
Source:
U.S.
3/ Unweighted average f a 1 1 1 <-c>u ~ •t• • o»d 1ng.

V

r e l e a s e

SF.t LOTEP INTEREST RATES AND BOND PRICES
(Yields In per cent per annum)
Calendar week ending October 7, 1978
rr

_

Treasury.