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Interest Rates:
Interest Rates, Quarterly, Not Seasonally Adjusted

   
    Q1 1960    
 
 
    Q1 2019
Percent
Name Q1 2019 Q4 2018 Q1 2018
3-month or 90-day rates and yields
Total Eurodollar deposits
2.70667 2.68000 2.00333
Total Interbank rates
2.52000 2.54000 1.83000
Total Certificates of deposit
2.52000 2.54000 1.83000
Immediate rates (< 24 hrs)
Total Call money/interbank rate
2.41 2.27 1.51
Total Prime rates
5.50 5.35 4.58
Total Federal funds rate
2.41 2.27 1.51
Total Combined terms Long-term government bond yields
2.93333 3.22000 2.96333
10-year, Main (including benchmark)
2.65333 3.03333 2.76000
   

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