20
THURSDAY, SEPTEMBER 29, 1994
HONG KONG MONETARY AUTHORITY
EF NOTES/HONG KONG GOVERNMENT BONDS
EF BILLS
TERMS
YIELD
TERM
ISSUE
COUPON
PRICE
YIELD
1
WEEK
4.24
20 MONTHS
2605
6.35
100.53
6.09
1
MONTH
4.27
23 MONTHS
2608
6.15
99.83
6.34
3
MONTHS
4.40
31 MONTHS
3704
6.15
98.55
6.88
6
MONTHS
4.76
34 MONTHS
3707
6.95
100.06
7.04
12 MONTHS 5.40
60 MONTHS
5909
7.45
99.26
7.78
TOTAL TURNOVER OF BILLS AND BONDS
9,365 MN
CLOSED 29 SEPTEMBER 1994
1