SHORT-TERM INTEREST RATES 2/6/95 (%) 1/30/95 (%) Net change
Prime rate 8.50 8.50 NC
Federal Funds rate 6.00 5.88 0.12
Three-month Treasury bills 5.95 5.87 0.08
One-year Treasury bills 6.76 6.73 0.03
INTERMEDIATE-TERM INTEREST RATES
Five-year Treasury notes 7.41 7.33 0.08
Ten-year Treasury notes 7.49 7.62 0.13
LONG-TERM INTEREST RATES
Thirty-year Treasury bonds 7.62 7.75 0.13
(Date supplied by A.G. Edwards)