News Focus
News Focus
icon url

mick

05/13/05 5:46 AM

#7781 RE: mick #7780

Thursday's Money Rates
Thursday May 12, 5:17 pm ET


NEW YORK (AP) --
Money rates for Thursday as reported by Moneyline Telerate:
Prime Rate: 6.00
Discount Rate Primary: 4.00
Discount Rate Secondary: 4.50
Broker call loan rate: 4.75
Federal funds market rate:
High 3.0 Low 3.0 Last 3.0
Dealers commercial paper:
30-180 days: 2.94-3.32
Commercial paper by finance company:
30-270 days: 1.57-1.86
Bankers acceptances dealer indications:
30 days, 3.03
60 days, 3.11
90 days, 3.20
120 days, 3.28
150 days, 3.35
180 days, 3.44
Certificates of Deposit Primary:
30 days, 1.57
90 days, 1.94
180 days, 2.26
Certificates of Deposit by dealer:
30 days, 3.05
60 days, 3.13
90 days, 3.22
120 days, 3.30
150 days, 3.37
180 days, 3.46
Eurodollar rates:
Overnight, 2.94-3.00
1 month, 2.94-3.06
3 months, 3.13-3.25
6 months, 3.38-3.50
1 year, 3.63-3.75
London Interbk Offered Rate:
3 months, 3.27
6 months, 3.49
1 year, 3.78
Treasury Bill auction results:
average discount rate:
3-month as of May 9: 2.850
6-month as of May 9: 3.120
Treasury Bill annualized rate on weekly average basis, yield adjusted for
constant maturity, 1-year, as of May 9: 3.33
Treas. Billmarket rate, 6 Mos: 3.08-3.07
Treas. Notemarket rate, 10-year as of 5pm :4.17
Fannie Mae 30 year mortgage commitments:
30 days, 5.63
60 days, 5.68
Fed Home Loan 11th District Cost of Funds:
As of Apr. 29: 2.400
Money market fund:
Merrill Lynch Ready Assets:
30 day average yield: 2.26
x - holiday
n.a - not available





Email Story
Set News Alert
Print Story