14
WEDNESDAY, JULY 27, 1994
FF BILLS
HONG KONG MONETARY AUTHORITY
EF NOTES/HONG KONG GOVERNMENT BONDS
TERMS
YIELD
TERM
ISSUE
COUPON PRICE
YIELD
1 WEEK
2.75
16 MONTHS
2511
4.15
98.15
5.70
1 MONTH
3.45
22 MONTHS
2605
6.35
100.45
6.17
3 MONTHS
4.08
30 MONTHS
3701
4.60
95.54
6.67
6 MONTHS
4.53
33 MONTHS
3704
6.15
98.64
6.81
12 MONTHS
5.28
36 MONTHS
3707
6.95
100.32
6.95
TOTAL TURNOVER OF BILLS AND BONDS
-
47,574 MN
CLOSED 27 JULY 1994