|
Money Rates
|
Friday, November 30, 2007
|
|
|
% CHG FROM
|
| Inflation |
Oct. index level |
Sept. '07 |
Oct. '06 |
| U.S. consumer price index |
| All items |
208.9 |
0.2 |
3.5 |
| Core |
212.3 |
0.3 |
2.2 |
|
| |
|
|
|
52-WEEK
|
| International rates |
Latest |
Wk ago |
High |
Low |
| Prime rates
[ U.S. Effective Date: 10/31/2007 ]
|
| U.S. |
7.50 |
7.50 |
8.25 |
7.50 |
| Canada |
6.25 |
6.25 |
6.25 |
6.00 |
| Euro zone |
4.00 |
4.00 |
4.00 |
3.25 |
| Japan |
1.875 |
1.875 |
1.875 |
1.625 |
| Switzerland |
4.08 |
4.05 |
4.62 |
2.74 |
| Britain |
5.75 |
5.75 |
5.75 |
5.00 |
| Australia |
6.75 |
6.75 |
6.75 |
6.25 |
| Hong Kong |
8.00 |
8.00 |
8.00 |
8.00 |
| Overnight repurchase |
| U.S. |
3.05 |
4.17 |
5.35 |
2.38 |
| U.K. (BBA) |
5.820 |
5.772 |
6.667 |
5.030 |
| Euro zone |
4.00 |
4.09 |
4.52 |
3.29 |
|
| |
| U.S. government rates |
| Discount
[ Effective Date: 10/31/2007 ]
|
| |
5.00 |
5.00 |
6.25 |
5.00 |
| Federal funds
[ Effective Date: 10/31/2007 ]
|
| Effective rate |
4.69 |
4.56 |
5.42 |
4.21 |
| Target rate |
4.50 |
4.50 |
5.25 |
4.50 |
| High |
5.0000 |
4.6875 |
7.5000 |
4.6250 |
| Low |
4.5000 |
4.4688 |
5.3750 |
0.2500 |
| Bid |
4.3750 |
4.5000 |
6.7500 |
0.0100 |
| Offer |
4.5000 |
4.5625 |
7.5000 |
0.0313 |
| Treasury bill auction
[ Auction Date: 11/30/2007 ]
|
| 4 weeks |
3.640 |
3.680 |
5.175 |
3.270 |
| 13 weeks |
3.175 |
3.390 |
5.035 |
2.850 |
| 26 weeks |
3.340 |
3.460 |
4.980 |
3.340 |
|
| |
Secondary Market
| Freddie Mac |
| 30-year mortgage yields |
| 30 days |
5.72 |
5.96 |
6.63 |
5.72 |
| 60 days |
5.74 |
5.98 |
6.64 |
5.74 |
| One-year RNY |
3.375 |
3.375 |
4.460 |
3.375 |
|
| |
| Fannie Mae |
| 30-year mortgage yields |
| 30 days |
5.832 |
6.079 |
6.727 |
5.832 |
| 60 days |
5.846 |
6.091 |
6.761 |
5.846 |
| Constant maturity debt index |
| Three months |
4.381 |
4.434 |
5.321 |
4.381 |
| Six months |
4.266 |
4.315 |
5.519 |
4.266 |
| One year |
4.050 |
4.132 |
5.323 |
4.038 |
| Bankers acceptance |
| 30 days |
5.35 |
4.78 |
5.81 |
4.64 |
| 60 days |
5.23 |
5.05 |
5.81 |
4.71 |
| 90 days |
5.18 |
5.05 |
5.81 |
4.81 |
| 120 days |
5.03 |
4.96 |
5.73 |
4.81 |
| 150 days |
4.97 |
4.93 |
5.63 |
4.75 |
| 180 days |
4.91 |
4.86 |
5.58 |
4.71 |
|
| |
| Other short-term rates |
| Call money
[ Effective Date: 10/31/2007 ]
|
| |
6.25 |
6.25 |
7.00 |
6.25 |
| Commercial paper |
| 30 to 31 days |
4.45 |
... |
... |
... |
| 32 to 59 days |
4.50 |
... |
... |
... |
| 60 to 90 days |
4.67 |
... |
... |
... |
| 91 to 122 days |
4.63 |
... |
... |
... |
| 123 to 151 days |
4.56 |
... |
... |
... |
| 152 to 180 days |
4.54 |
... |
... |
... |
| 181 to 210 days |
4.48 |
... |
... |
... |
| 211 to 241 days |
4.38 |
... |
... |
... |
| 242 to 270 days |
4.35 |
... |
... |
... |
| Dealer commercial paper |
| 30 days |
4.75 |
4.70 |
5.78 |
4.58 |
| 60 days |
5.10 |
5.00 |
5.78 |
4.76 |
| 90 days |
5.10 |
5.00 |
5.75 |
4.79 |
| Euro commercial paper |
| 30 day |
4.53 |
4.00 |
5.24 |
3.53 |
| Two month |
4.53 |
4.48 |
5.26 |
3.56 |
| Three month |
4.53 |
4.50 |
5.23 |
3.59 |
| Four month |
4.50 |
4.46 |
5.22 |
3.63 |
| Five month |
4.50 |
4.45 |
5.21 |
3.64 |
| Six month |
4.50 |
4.45 |
5.16 |
3.66 |
| London interbank offered rate, or Libor |
| One month |
5.23625 |
4.79313 |
5.82375 |
4.65188 |
| Three month |
5.13125 |
5.04000 |
5.72500 |
4.86500 |
| Six month |
4.91000 |
4.85625 |
5.59500 |
4.73750 |
| One year |
4.45750 |
4.44000 |
5.50656 |
4.39875 |
| Libor Swaps (USD) |
| Two year |
3.908 |
4.045 |
5.530 |
3.860 |
| Three year |
3.950 |
4.110 |
5.590 |
3.895 |
| Five year |
4.170 |
4.355 |
5.710 |
4.130 |
| Ten year |
4.595 |
4.780 |
5.900 |
4.580 |
| 30 year |
4.928 |
5.095 |
6.070 |
4.905 |
| Euro Libor |
| One month |
4.821 |
4.203 |
4.821 |
3.587 |
| Three month |
4.811 |
4.698 |
4.811 |
3.639 |
| Six month |
4.754 |
4.672 |
4.794 |
3.720 |
| One year |
4.688 |
4.620 |
4.807 |
3.803 |
| Euro interbank offered rate |
| One month |
4.822 |
4.199 |
4.822 |
3.588 |
| Three month |
4.810 |
4.697 |
4.810 |
3.638 |
| Six month |
4.751 |
4.669 |
4.793 |
3.721 |
| One year |
4.692 |
4.618 |
4.807 |
3.804 |
| Hibor |
| One month |
3.751 |
3.198 |
5.704 |
2.199 |
| Three month |
3.850 |
3.551 |
5.451 |
3.150 |
| Six month |
3.816 |
3.578 |
5.876 |
3.459 |
| One year |
3.722 |
3.600 |
5.688 |
3.593 |
| Asian dollars |
| One month |
5.236 |
4.793 |
5.840 |
4.655 |
| Three month |
5.144 |
5.043 |
5.755 |
3.570 |
| Six month |
4.904 |
4.857 |
5.600 |
4.758 |
| One year |
4.471 |
4.442 |
5.936 |
4.420 |
| Certificates of Deposit |
| One month |
4.800 |
4.750 |
5.830 |
4.630 |
| Three month |
5.150 |
5.050 |
5.800 |
4.840 |
| Six Month |
4.950 |
4.880 |
5.640 |
4.730 |
| Merrill Lynch Ready Assets Trust |
| |
4.560 |
4.600 |
4.900 |
4.560 |
|
| |
|
LATEST
|
|
52-WEEK
|
| Eurodollars (mid rates) |
Offer |
Bid |
Wk ago |
High |
Low |
| One month |
5.25 |
5.40 |
4.77 |
5.88 |
4.64 |
| Two month |
5.15 |
5.25 |
5.07 |
5.85 |
4.75 |
| Three month |
5.15 |
5.25 |
5.07 |
5.83 |
4.83 |
| Four month |
5.00 |
5.10 |
4.98 |
5.78 |
4.81 |
| Five month |
4.95 |
5.05 |
4.94 |
5.69 |
4.77 |
| Six month |
4.85 |
4.95 |
4.86 |
5.60 |
4.73 |
|
| |
| Freddie Mac |
Thursday, November 29, 2007
|
| Weekly survey |
Latest |
Wk ago |
Year ago |
| 30-year fixed |
6.10 |
6.20 |
6.14 |
| 15-year fixed |
5.73 |
5.83 |
5.87 |
| Five-year ARM |
5.86 |
5.88 |
5.95 |
| One-year ARM |
5.43 |
5.42 |
5.46 |
|
| |