I
20
WEDNESDAY, NOVEMBER 16, 1994
HONG KONG MONETARY AUTHORITY
EF NOTES/HONG KONG GOVERNMENT BONDS
EF BILLS
TERMS
YIELD
TERM
ISSUE
COUPON
PRICE
YIELD
1 WEEK
4.79
18 MONTHS
2605
6.35
99.78
6.61
1 MONTH
4.74
23 MONTHS
3610
4.20
100.03
7.00
3 MONTHS
5.11
29 MONTHS
3704
6.15
97.69
7.32
6 MONTHS
5.48
36 MONTHS
3710
7.25
99.43
7.61
12 MONTHS
6.04
58 MONTHS
5909
7.45
97.43
8.26
TOTAL TURNOVER OF BILLS AND BONDS
CLOSED 16 NOVEMBER 1994
—
38,978 MN
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