EP 1110-1-8
(Vol. 1)
31 July 03
APPENDIX I
FEDERAL COST-OF-MONEY RATE
(Renegotiation or Prompt Payment Rate)
EFFECTIVE MONTHS
EFFECTIVE DATE
RATE
July - December
7/1/76
8.500%
January - June
1/1/77
7.750%
July - December
7/1/77
7.875%
January - June
1/1/78
8.250%
July - December
7/1/78
9.000%
January - June
1/1/79
9.875%
July - December
7/1/79
10.250%
January - June
1/1/80
12.250%
July - December
7/1/80
10.500%
January - June
1/1/81
14.875%
July - December
7/1/81
14.875%
January - June
1/1/82
14.750%
July - December
7/1/82
15.500%
January - June
1/1/83
11.250%
July - December
7/1/83
11.500%
January - June
1/1/84
12.375%
July - December
7/1/84
14.375%
January - June
1/1/85
12.125%
July - December
7/1/85
10.375%
January - June
1/1/86
9.750%
July - December
7/1/86
8.500%
January - June
1/1/87
7.625%
July - December
7/1/87
8.875%
January - June
1/1/88
9.375%
July - December
7/1/88
9.250%
January - June
1/1/89
9.750%
July - December
7/1/89
9.125%
January - June
1/1/90
8.500%
I-1