FRED Scan 10.06.2020

Total Value of Issues, with a Maturity Between 41 and 80 Days, Used in Calculating the AA Asset-Backed Commercial Paper Rates

Total Value of Issues, with a Maturity Between 41 and 80 Days, Used in Calculating the AA Asset-Backed Commercial Paper Rates

ICE BofA Euro High Yield Index Total Return Index Value

ICE BofA Euro High Yield Index Total Return Index Value

ICE BofA CCC & Lower US High Yield Index Option-Adjusted Spread

ICE BofA CCC & Lower US High Yield Index Option-Adjusted Spread

Wilshire 5000 Total Market Full Cap Index

Wilshire 5000 Total Market Full Cap Index

Overnight AA Financial Commercial Paper Interest Rate

Overnight AA Financial Commercial Paper Interest Rate

Effective Federal Funds Rate

Effective Federal Funds Rate

10-Year Treasury Constant Maturity Rate

10-Year Treasury Constant Maturity Rate

10-Year 0-5/8% Treasury Inflation-Indexed Note, Due 7/15/2021

10-Year 0-5/8% Treasury Inflation-Indexed Note, Due 7/15/2021

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