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