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    1954-01-04    
 
 
    2019-01-22
Percent
Name 2019-01-22 Preceding
Period
Year Ago
from Period
Federal funds (effective)
2.40 2.40 1.70
Commercial Paper
Nonfinancial
1-month
2.49 . 1.51
2-month
2.50 . 1.55
3-month
2.52 . 1.60
Financial
1-month
2.41 . .
2-month
2.47 . 1.58
3-month
2.53 . 1.63
Bank prime loan
5.50 . 4.50
Discount window primary credit
3.00 3.00 2.00
U.S. government securities
Treasury bills (secondary market)
4-week
2.34 . 1.24
3-month
2.38 . 1.42
6-month
2.45 . 1.60
1-year
2.51 . 1.72
Treasury constant maturities
Nominal
1-month
2.38 . 1.26
3-month
2.43 . 1.44
6-month
2.51 . 1.63
1-year
2.59 . 1.78
2-year
2.58 . 2.06
3-year
2.55 . 2.18
5-year
2.57 . 2.43
7-year
2.65 . 2.55
10-year
2.74 . 2.63
20-year
2.91 . 2.77
30-year
3.06 . 2.90
Inflation indexed
5-year
0.94 . 0.51
7-year
0.94 . 0.56
10-year
0.95 . 0.57
20-year
1.09 . 0.71
30-year
1.20 . 0.81
Inflation-indexed long-term average
1.16 . 0.74
   

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