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MONDAY, SEPTEMBER 19, 1994
HONG KONG MONETARY AUTHORITY
EF NOTES/HONG KONG GOVERNMENT BONDS
EF BILLS
TERMS
YIELD
TERM
ISSUE
COUPON PRICE
YIELD
1 WEEK
4.12
17 MONTHS
2602
4.40
98.31
5.75
1 MONTH
4.19
23 MONTHS
2608
6.15
100.02
6.23
3 MONTHS
4.37
28 MONTHS
3701
4.60
95.90
6.61
6 MONTHS
4.66
31 MONTHS
3704
6.15
98.79
6.77
12 MONTHS
5.30
34 MONTHS
3707
6.95
100.35
6.92
TOTAL TURNOVER OF BILLS AND BONDS 9,130 MN
CLOSED 19 SEPTEMBER 1994
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