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TABLE 79

BONDS BEARING ISSUE DATES FROM DECEMBER 1, 1966, THROUGH MAY 1, 1967

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Period after issue date

Percent

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Redemption values and investment yields to maturity on basis of June 1, 1970, revision

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1 Month, day, and year on which issues of Dec. 1, 1966, enter each period. For subsequent issue months add the appropriate number of months.

2 Based on maturity value in effect on the beginning date of the half-year period.

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TABLE 80

BONDS BEARING ISSUE DATES FROM JUNE 1 THROUGH NOVEMBER 1, 1967

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Period after issue date

Percent

1 (6/1/67) (12/1/67)

$18.75

$37.50

$56.25

$75.00

$150.00

$375,00

$750,00

$7,500

0.00

18.96

37.92

56.88

75.84

151, 68

379.20

758.40

7,584

2. 24

3.80

4.30

- (6/1/68)

19.32

38.64

57.96

77.28

154, 56

386. 40

772.80

7,728

3. 02

3.93

4. 44

(12/1/68)

19. 70

39.40

59. 10

78.80

157.60

394.00

788.00

7,880

3.32

4.06

4.49

- (6/1/69)

20. 10

40. 20

60, 30

80.40

160.80

402.00

804.00

8, 040

3.51

4. 28

5.00

(12/1/69)

20.53

41.06

61.59

82. 12

164. 24

410. 60

821. 20

8, 212

3.66

4.38

5.08

- (6/1/70)

20.98

41.96

62.94

83.92

167.84

419. 60

839.20

8, 392

3.78

4. 58

5. 67

Redemption values and investment yields to maturity on basis of June 1, 1970, revision

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1 Month, day, and year on which issues of June 1, 1967, enter each period. For subsequent issue months add the appropriate number of months.

2 Based on maturity value in effect on the beginning date of the half-year period.

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Issue price.

TABLE 81

BONDS BEARING ISSUE DATES FROM DECEMBER 1, 1967, THROUGH MAY 1, 1968

$18.75 $37.50 $56,25 $75.00 $150,00 $375,00 $750,00 25,00 50.00 75.00 100.00 200,00 500,00 1,000,00

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(1) Redemption values during each half-year period (values increase on first day of period shown)

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First year.

1(12/1/67)

$18.75

$37.50

$56.25

$75.00

$150.00

$375.00

$750,00

$7,500

0.00

2. 24

Percent 4. 15

1⁄2 to 1 year...

(6/1/68)

18.96

37.92

56.88

75.84

151.68

379.20

758.40

7,584

2.24

3.80

4.40

1 to 11⁄2 years.

(12/1/68)

19.32

38. 64

57.96

77.28

154.56

386. 40

772.80

7,728

3.02

3.93

4.45

11⁄2 to 2 years.............

(6/1/69)

19.70

39.40

59.10

78.80

157.60

394.00

788.00

7,880

3.32

4. 16

5.00

2 to 21⁄2 years.

(12/1/69)

20. 11

40.22

60.33

80.44

160.88

402. 20

804.40

8, 044

3.53

4. 28

5. 09

21⁄2 to 3 years..

(6/1/70)

20.54 41.08

61.62

82.16 164.32

410.80

821.60

8, 216

3.68

4. 48

5. 68

Redemption values and investment yields to maturity on basis of June 1, 1970, revision

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Month, day, and year on which issues of Dec. 1, 1967, enter each period. For subsequent issue months add the appropriate number of months.

*Based on maturity value in effect on the beginning date of the half-year period.

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TABLE 82

BONDS BEARING ISSUE DATES FROM JUNE 1 THROUGH NOVEMBER 1, 1968

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Percent

1(6/1/68)

$18.75

$37.50

$56.25

$75.00 $150.00

$375.00

$750.00

$7,500

0.00

2. 24

4.25

-(12/1/68) 18.96

37.92

56.88

75.84

151.68

379. 20

758.40

584

2. 24

3.80

4.40

(6/1/69) 19.32

38.64

57.96

77.28

154.56

386.40

772.80

7,728

3.02

4.04

5.00

(12/1/69)

19.71

39.42

59. 13

78.84

157.68

394. 20

788.40

884

3.36

4. 16

5. 09

-(6/1/70) 20.12

40.24

60.36

80.48

160.96

402. 40

804.80

8,048

3. 56

4.37

5. 68

Redemption values and investment yields to maturity on basis of June 1, 1970, revision

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1 Month, day and year on which issues of June 1, 1968, enter each period. For subsequent issue months add the appropriate number of months.

• Based on maturity value in effect on the beginning date of the half-year period.

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TABLE 83

BONDS BEARING ISSUE DATES FROM DECEMBER 1, 1968 THROUGH MAY 1, 1969

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Period after issue date

Redemption values and investment yields to maturity on basis of June 1, 1970, revision

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1 Month, day and year on which issues of Dec. 1, 1968 enter each period. For subsequent issue months add the appropriate number of months.

2 Based on maturity value in effect on the beginning date of the half-year period.

First 1⁄2 year.

1⁄2 to 1 year..

1 to 11⁄2 years.. 11⁄2 to 2 years..

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