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Home > Releases > Release: H.15 Selected Interest Rates, Release Date: 2009-11-02

Release: H.15 Selected Interest Rates, Release Date: 2009-11-02


Download Release Dates
   
Name    

H.15 Selected Interest Rates    
 
Link    

http://www.federalreserve.gov/releases/h15/    
 
Source    

Board of Governors of the Federal Reserve System    
 
             Release Dates:   Series Revisions 1 - 50 of 81   1  2 Next » 

Select:           Last Observation   # New and Revised
All, None Series ID Title asc    Freq.    Units Seas. Adj. Period Value   Observations
GS10 10-Year Treasury Constant Maturity Rate M % NA 2009-10 3.39   1
WGS10YR 10-Year Treasury Constant Maturity Rate W % NA 2009-10-30 3.49   1
FII10 10-Year Treasury Inflation-Indexed Security, Constant Maturity M % NA 2009-10 1.48   1
WFII10 10-Year Treasury Inflation-Indexed Security, Constant Maturity W % NA 2009-10-30 1.49   1
CPF1M 1-Month AA Financial Commercial Paper Rate M % NA 2009-10 0.17   1
WCPF1M 1-Month AA Financial Commercial Paper Rate W % NA 2009-10-30 0.17   1
CPN1M 1-Month AA Nonfinancial Commercial Paper Rate M % NA 2009-10 0.12   1
WCPN1M 1-Month AA Nonfinancial Commercial Paper Rate W % NA 2009-10-30 0.12   1
CD1M 1-Month Certificate of Deposit: Secondary Market Rate M % NA 2009-10 0.20   1
WCD1M 1-Month Certificate of Deposit: Secondary Market Rate W % NA 2009-10-30 0.19   1
WCP1M 1-Month Commercial Paper Rate (DISCONTINUED SERIES) W % NA 1997-08-29 5.55   0  
GS1M 1-Month Treasury Constant Maturity Rate M % NA 2009-10 0.04   1
WGS1MO 1-Month Treasury Constant Maturity Rate W % NA 2009-10-30 0.03   1
WTB1YA 1-Year Treasury Bill Rate: Auction Average (DISCONTINUED SERIES) W % NA 2000-06-02 6.00   0  
TB1YR 1-Year Treasury Bill: Secondary Market Rate M % NA 2009-10 0.35   1
WTB1YR 1-Year Treasury Bill: Secondary Market Rate W % NA 2009-10-30 0.38   1
WTB1YS 1-Year Treasury Bill: Secondary Market Rate (DISCONTINUED SERIES) W % NA 2001-08-24 3.22   0  
GS1 1-Year Treasury Constant Maturity Rate M % NA 2009-10 0.37   1
WGS1YR 1-Year Treasury Constant Maturity Rate W % NA 2009-10-30 0.39   1
GS20 20-Year Treasury Constant Maturity Rate M % NA 2009-10 4.16   1
WGS20YR 20-Year Treasury Constant Maturity Rate W % NA 2009-10-30 4.27   1
FII20 20-Year Treasury Inflation-Indexed Security, Constant Maturity M % NA 2009-10 2.04   1
WFII20 20-Year Treasury Inflation-Indexed Security, Constant Maturity W % NA 2009-10-30 2.09   1
CPF2M 2-Month AA Financial Commercial Paper Rate M % NA 2009-10 0.17   1
WCPF2M 2-Month AA Financial Commercial Paper Rate W % NA 2009-10-30 0.17   1
CPN2M 2-Month AA Nonfinancial Commercial Paper Rate M % NA 2009-10 0.14   1
WCPN2M 2-Month AA Nonfinancial Commercial Paper Rate W % NA 2009-10-30 0.14   1
GS2 2-Year Treasury Constant Maturity Rate M % NA 2009-10 0.95   1
WGS2YR 2-Year Treasury Constant Maturity Rate W % NA 2009-10-30 0.98   1
MORTG 30-Year Conventional Mortgage Rate M % NA 2009-10 4.95   1
WRMORTG 30-Year Conventional Mortgage Rate W % NA 2009-10-29 5.03   1
WMORTG 30-Year Conventional Mortgage Rate (DISCONTINUED SERIES) W % NA 2004-01-02 5.85   0  
GS30 30-Year Treasury Constant Maturity Rate M % NA 2009-10 4.19   1
WGS30YR 30-Year Treasury Constant Maturity Rate W % NA 2009-10-30 4.30   1
CPF3M 3-Month AA Financial Commercial Paper Rate M % NA 2009-10 0.22   1
WCPF3M 3-Month AA Financial Commercial Paper Rate W % NA 2009-10-30 0.23   1
CPN3M 3-Month AA Nonfinancial Commercial Paper Rate M % NA 2009-10 0.19   1
WCPN3M 3-Month AA Nonfinancial Commercial Paper Rate W % NA 2009-10-30 0.18   1
CD3M 3-Month Certificate of Deposit: Secondary Market Rate M % NA 2009-10 0.24   1
WCD3M 3-Month Certificate of Deposit: Secondary Market Rate W % NA 2009-10-30 0.22   1
WCP3M 3-Month Commercial Paper Rate (DISCONTINUED SERIES) W % NA 1997-08-29 5.55   0  
TB3MS 3-Month Treasury Bill: Secondary Market Rate M % NA 2009-10 0.07   1
WTB3MS 3-Month Treasury Bill: Secondary Market Rate W % NA 2009-10-30 0.07   1
GS3M 3-Month Treasury Constant Maturity Rate M % NA 2009-10 0.07   1
WGS3MO 3-Month Treasury Constant Maturity Rate W % NA 2009-10-30 0.07   1
GS3 3-Year Treasury Constant Maturity Rate M % NA 2009-10 1.46   1
WGS3YR 3-Year Treasury Constant Maturity Rate W % NA 2009-10-30 1.51   1
TB4WK 4-Week Treasury Bill: Secondary Market Rate M % NA 2009-10 0.04   1
WTB4WK 4-Week Treasury Bill: Secondary Market Rate W % NA 2009-10-30 0.03   1
GS5 5-Year Treasury Constant Maturity Rate M % NA 2009-10 2.33   1

Series Revisions 1 - 50 of 81   1  2 Next » 


Abbreviations
Frequency (Freq.)
 

A = Annual, Q = Quarterly, M = Monthly, BW = Bi-Weekly, W = Weekly, D = Daily

Seasonal Adjustment (Seas. Adj.)
 

SA = Seasonally Adjusted, NSA = Not Seasonally Adjusted, SAAR = Seasonally Adjusted Annual Rate, NA = Not Applicable


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