E

16

WEDNESDAY, JUNE 1, 1994

EF BILLS

HONG KONG MONETARY AUTHORITY

FF NOTES/HONG KONG GOVERNMENT BONDS

TERMS

YIELD

TERM

ISSUE

COUPON PRICE

YIELD

1 WEEK

3.33

18 MONTHS

2511

4.15

97.83

5.79

1 MONTH

3.56

24 MONTHS

2605

6.35

100.36

6.25

3 MONTHS

4.02

29 MONTHS

3610

4.20

94.98

6.59

6 MONTHS

4.51

32 MONTHS

3701

4.60

95.16

6.72

12 MONTHS

5.22

35 MONTHS

3704

6.15

98.50

6.84

TOTAL TURNOVER OF BILLS AND BONDS

-

20,309 MN

CLOSED 1 JUNE 1994

0

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