PRACTICE EXAM 1 - Michigan State University

Money Market Rate Average Rate (%) Standard deviation (%) 90 day Commercial Paper Rate 6.6545 1.1164 Secondary Market Yield of One Year Treasury Bill 6.0527 0.6840 Secondary Market Yield of 3 month Treasury Bill 5.9391 0.6609 Overnight MIBOR 6.2147 1.0299 Call Money Rate 5.9752 0.9142 ................
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