FRED Scan 10.07.2019

10-Year Treasury Constant Maturity Minus 2-Year Treasury Constant Maturity

10-Year Treasury Constant Maturity Minus 2-Year Treasury Constant Maturity

Number of Issues, with a Maturity Between 21 and 40 Days, Used in Calculating the AA Asset-Backed Commercial Paper Rates

Number of Issues, with a Maturity Between 21 and 40 Days, Used in Calculating the AA Asset-Backed Commercial Paper Rates

3-Month Treasury Constant Maturity Rate

3-Month Treasury Constant Maturity Rate

10-Year 0-1/8% Treasury Inflation-Indexed Note, Due 7/15/2024

10-Year 0-1/8% Treasury Inflation-Indexed Note, Due 7/15/2024

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