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FEDERAL RESERVE statistical release
SELECTED INTEREST RATES
(Yields in percent per annum)
Calendar week ending Sept. 12, 1980

H.15(519)

Instruments

For Immediate Release
September 15, 1980

Sept.
8
10.33

Sept.
9
10.22

Sept.
10
10.09

Sept.
11
10.47

Sept.
12
10.79

This
Week
10.22-

Last
Week
10.47 1 7

10.25
10.55
10.54

10.35
10.51
10.53

10.43
10.57
10.62

10.51
10.67
10.75

10.67
10.75
10.79

10.44
10.61
10.65

10.17
10.36
10.46

10.05
9.90
9.90
10.78

10.28
9.93
9.98
10.75

10.39
9.95
10.00
10.70

10.48
10.13
10.10
10.83

10.55
10.15
10.15
10.95

10.35
10.01
10.03
10.80

9.93
9.91
9.97
10.63

10.40
10.85
11.28
12.00
10,00

10.36
10.91
11.30
12.00
10.00

10.35
10.81
11.23
12.00
10.00

10.46
10.85
11.28
12.00
10.00

10.63
11.09
11.46
12.25
10.00

10.44
10.90
11.31 1 ,
II.7I7,
10.00^

10.36
10.72
11.07, ,
11.50^

10.060
10.234

10.124
10.250

Commercial paper 2/4/

6-month • • • • • • • • •
Finance paper placed directly 2/
1-month

• • • • • • • • •

Bankers 1 acceptances (prime, 90 days) 2/
CDs (secondary market)

6-month
Prime loan (large business prime rate-majority). . 9 . .
Discount rate (Federal Reserve Bank of New York) . . . .
U.S.
government securities
Treasury bills 2/
Auction average (Issue date)
3-month
• . . . . . . . . • • • . . •
6-month

10.060
10.234

Secondary market

1-year
Treasury constant maturities 3/

3-year

• • • • •

« • • • • • • • • • • • • • • • • • • • • »

30-year
Corporate bonds (Moody 9 s), all industries
. . . . . . .
Aaa
Baa
• • • •
State and local government Aaa (Moody 1 s) • • • • • • • •

10.10
10.27
10.10

10.04
10.17
10.05

9.94
10.07
10.02

10.14
10.38
10.24

10.22
10.42
10.34

10.09
10.26
10.15

9.78
9.92
9.84

11.03
11.11
11.08
11.30
11.31
11.29
11.27
11.15

10.99
11.13
11.08
11.27
11.25
11.19
11.20
11.05

10.94
11.03
11.06
11.19
11.18
11.14
11.16
11.02

11.25
11.27
11.27
11.37
11.36
11.32
11.27
11.15

11.37
11.40

11.12
11.19
11.18
11.31
11,30
11.26
11.24
11.11

10.74
10.86
10.92
11.23
11.23
11.19
11.14
11.03

12.72
11.89
13.58

12.72
11.90
13.58

12.70
11.88
13.56

12.69
11.89
13.57
8.30

12.71
11.94
13.58

12.71
11.90
13.57
8.30

12.67
11.89
13.55
8.30

1. 7-day average for statement week ended on preceding Wednesday.
2. Quoted on bank-discount basis.

3. Yields on actively traded issues adjusted to constant maturities. Source: U.S. Treasury.
http://fraser.stlouisfed.org/
4. Rates on the commercial paper placed for firms whose bond rating is Aa or the equivalent.
Federal Reserve Bank of St. Louis

11.41
11.41
11.39
11.37
11.30
11.18