FRED Scan 09.12.2021

6-Month Treasury Constant Maturity Minus Federal Funds Rate

6-Month Treasury Constant Maturity Minus Federal Funds Rate

Total Value of Issues, with a Maturity Between 10 and 20 Days, Used in Calculating the AA Financial Commercial Paper Rates

Total Value of Issues, with a Maturity Between 10 and 20 Days, Used in Calculating the AA Financial Commercial Paper Rates

90-Day AA Nonfinancial Commercial Paper Interest Rate

90-Day AA Nonfinancial Commercial Paper Interest Rate

Effective Federal Funds Rate: 99th Percentile

Effective Federal Funds Rate: 99th Percentile

1-Year Treasury Bill Secondary Market Rate

1-Year Treasury Bill Secondary Market Rate

Market Yield on U.S. Treasury Securities at 1-Year Constant Maturity

Market Yield on U.S. Treasury Securities at 1-Year Constant Maturity

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