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Interest Rates:
Interest Rates, Quarterly, Not Seasonally Adjusted

   
    Q1 1998    
 
 
    Q2 2022
Percent
Name Period Value Preceding
Period
Year Ago
from Period
Long-term government bond yields
10-year, Main (including benchmark)
. . . .
Immediate rates (< 24 hrs)
Total Liquidity credit rates
Q2 2022 3.85667 1.73667 0.74000
Total Call money/interbank rate
Q2 2022 3.85667 1.73667 0.74000
Total Interbank rates 3-month or 90-day rates and yields
Q2 2022 2.11333 1.86333 2.17333
Total Bank deposit rates Other 3-month rates
Q2 2022 2.11333 1.86333 2.17333
   

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