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Last Release Date
Last Observation
First Release Date
First Observation
Title
Series ID
Frequency
Units
Seas Adj
Net Issues of International Bonds and Notes, Floating Rate in Sector of Non-financial corporations (DISCONTINUED)
Quarterly, Not Seasonally Adjusted, IBANFRNCNI
Units
Release Dates
Observation Period
Billions of US Dollars
2014-03-09 to 2015-09-12
Q3 1993 to Q1 2015
Billions of US Dollars
2015-09-13 to 2015-09-13
Q3 1993 to Q2 2015
Net Issues of International Bonds and Notes, Fixed Rate in Sector of Non-financial corporations (DISCONTINUED)
Quarterly, Not Seasonally Adjusted, IBANFXNCNI
Units
Release Dates
Observation Period
Billions of US Dollars
2014-03-09 to 2015-09-12
Q3 1993 to Q1 2015
Billions of US Dollars
2015-09-13 to 2015-09-13
Q3 1993 to Q2 2015
Net Issues of International Bonds and Notes, Floating Rate in Currency of Issue in Euro (DISCONTINUED)
Quarterly, Not Seasonally Adjusted, IBANFREUNI
Units
Release Dates
Observation Period
Billions of US Dollars
2015-09-13 to 2015-09-13
Q3 1993 to Q2 2015
Net Issues of International Bonds and Notes, Fixed Rate in Currency of Issue in Euro (DISCONTINUED)
Quarterly, Not Seasonally Adjusted, IBANFXEUNI
Units
Release Dates
Observation Period
Billions of US Dollars
2015-09-13 to 2015-09-13
Q3 1993 to Q2 2015
Net Issues of International Bonds and Notes, Floating Rate in Currency of Issue in Pound sterling (DISCONTINUED)
Quarterly, Not Seasonally Adjusted, IBANFRGBNI
Units
Release Dates
Observation Period
Billions of US Dollars
2014-03-09 to 2015-09-12
Q3 1993 to Q1 2015
Billions of US Dollars
2015-09-13 to 2015-09-13
Q3 1993 to Q2 2015
Net Issues of International Bonds and Notes, Fixed Rate in Currency of Issue in Pound sterling (DISCONTINUED)
Quarterly, Not Seasonally Adjusted, IBANFXGBNI
Units
Release Dates
Observation Period
Billions of US Dollars
2014-03-09 to 2015-09-12
Q3 1993 to Q1 2015
Billions of US Dollars
2015-09-13 to 2015-09-13
Q3 1993 to Q2 2015
Net Issues of International Bonds and Notes, Floating Rate in Currency of Issue in Other currencies (DISCONTINUED)
Quarterly, Not Seasonally Adjusted, IBANFROCNI
Units
Release Dates
Observation Period
Billions of US Dollars
2015-09-13 to 2015-09-13
Q3 1993 to Q2 2015
Net Issues of International Bonds and Notes, Fixed Rate in Currency of Issue in Other currencies (DISCONTINUED)
Quarterly, Not Seasonally Adjusted, IBANFXOCNI
Units
Release Dates
Observation Period
Billions of US Dollars
2015-09-13 to 2015-09-13
Q3 1993 to Q2 2015
Net Issues of International Bonds and Notes, Floating Rate in Currency of Issue in Canadian dollar (DISCONTINUED)
Quarterly, Not Seasonally Adjusted, IBANFRCANI
Units
Release Dates
Observation Period
Billions of US Dollars
2015-09-13 to 2015-09-13
Q3 1993 to Q2 2015
Net Issues of International Bonds and Notes, Floating Rate in Currency of Issue in Swiss franc (DISCONTINUED)
Quarterly, Not Seasonally Adjusted, IBANFRCHNI
Units
Release Dates
Observation Period
Billions of US Dollars
2015-09-13 to 2015-09-13
Q3 1993 to Q2 2015
Net Issues of International Bonds and Notes, Fixed Rate in Currency of Issue in Swiss franc (DISCONTINUED)
Quarterly, Not Seasonally Adjusted, IBANFXCHNI
Units
Release Dates
Observation Period
Billions of US Dollars
2015-09-13 to 2015-09-13
Q3 1993 to Q2 2015
Interest Rates: Long-Term Government Bond Yields: Combined Terms: Total for Russia
Monthly, Not Seasonally Adjusted, IRLTCT01RUM156N
Units
Release Dates
Observation Period
Percent
2023-09-09 to 2023-09-09
Jan 1999 to Jun 2018
Interest Rates: Long-Term Government Bond Yields: Combined Terms: Total for Russia
Quarterly, Not Seasonally Adjusted, IRLTCT01RUQ156N
Units
Release Dates
Observation Period
Percent
2023-09-09 to 2023-09-09
Q1 1999 to Q2 2018
Interest Rates: Long-Term Government Bond Yields: Combined Terms: Total for Russia
Annual, Not Seasonally Adjusted, IRLTCT01RUA156N
Units
Release Dates
Observation Period
Percent
2023-09-09 to 2023-09-09
1999 to 2017
52) Over the Past Three Months, How Have the Terms Under Which High-Grade Corporate Bonds Are Funded Changed?| B. Terms for Most Favored Clients, as a Consequence of Breadth, Duration And/or Extent of Relationship | 4. Collateral Spreads over Relevant Benchmark (Effective Financing Rates). | Answer Type: Tightened Considerably
Quarterly, Not Seasonally Adjusted, ALLQ52B4TCNR
Units
Release Dates
Observation Period
Number of Respondents
2022-12-22 to 2025-03-27
Q4 2011 to Q1 2025
Number of Issues, with a Maturity Between 10 and 20 Days, Used in Calculating the AA Asset-Backed Commercial Paper Rates
Daily, Not Seasonally Adjusted, AB1020AAVOL
Units
Release Dates
Observation Period
Number
2014-02-20 to 2025-03-04
2001-01-02 to 2025-03-03
Number
2025-03-05 to 2025-12-08
2001-01-02 to 2025-12-05
Number of Issues, with a Maturity Between 1 and 4 Days, Used in Calculating the AA Asset-Backed Commercial Paper Rates
Daily, Not Seasonally Adjusted, AB14AAVOL
Units
Release Dates
Observation Period
Number
2014-02-20 to 2025-03-04
2001-01-02 to 2025-03-03
Number
2025-03-05 to 2025-12-08
2001-01-02 to 2025-12-05
Number of Issues, with a Maturity Between 21 and 40 Days, Used in Calculating the AA Asset-Backed Commercial Paper Rates
Daily, Not Seasonally Adjusted, AB2140AAVOL
Units
Release Dates
Observation Period
Number
2014-02-20 to 2025-03-04
2001-01-02 to 2025-03-03
Number
2025-03-05 to 2025-12-08
2001-01-02 to 2025-12-05
Number of Issues, with a Maturity Between 41 and 80 Days, Used in Calculating the AA Asset-Backed Commercial Paper Rates
Daily, Not Seasonally Adjusted, AB4180AAVOL
Units
Release Dates
Observation Period
Number
2014-02-20 to 2025-03-04
2001-01-02 to 2025-03-03
Number
2025-03-05 to 2025-12-08
2001-01-02 to 2025-12-05
Number of Issues, with a Maturity Between 5 and 9 Days, Used in Calculating the AA Asset-Backed Commercial Paper Rates
Daily, Not Seasonally Adjusted, AB59AAVOL
Units
Release Dates
Observation Period
Number
2014-02-20 to 2025-03-04
2001-01-02 to 2025-03-03
Number
2025-03-05 to 2025-12-08
2001-01-02 to 2025-12-05
Number of Issues, with a Maturity Greater Than 80 Days, Used in Calculating the AA Asset-Backed Commercial Paper Rates
Daily, Not Seasonally Adjusted, ABGT80AAVOL
Units
Release Dates
Observation Period
Number
2014-02-20 to 2025-03-04
2001-01-02 to 2025-03-03
Number
2025-03-05 to 2025-12-08
2001-01-02 to 2025-12-05
Total Value of Issues, with a Maturity Between 10 and 20 Days, Used in Calculating the AA Asset-Backed Commercial Paper Rates
Daily, Not Seasonally Adjusted, AB1020AAAMT
Units
Release Dates
Observation Period
Millions of Dollars
2014-02-20 to 2025-03-04
2001-01-02 to 2025-03-03
Millions of Dollars
2025-03-05 to 2025-12-08
2001-01-02 to 2025-12-05
Total Value of Issues, with a Maturity Between 1 and 4 Days, Used in Calculating the AA Asset-Backed Commercial Paper Rates
Daily, Not Seasonally Adjusted, AB14AAAMT
Units
Release Dates
Observation Period
Millions of Dollars
2014-02-20 to 2025-03-04
2001-01-02 to 2025-03-03
Millions of Dollars
2025-03-05 to 2025-12-08
2001-01-02 to 2025-12-05
Total Value of Issues, with a Maturity Between 21 and 40 Days, Used in Calculating the AA Asset-Backed Commercial Paper Rates
Daily, Not Seasonally Adjusted, AB2140AAAMT
Units
Release Dates
Observation Period
Millions of Dollars
2014-02-20 to 2025-03-04
2001-01-02 to 2025-03-03
Millions of Dollars
2025-03-05 to 2025-12-08
2001-01-02 to 2025-12-05
Total Value of Issues, with a Maturity Between 41 and 80 Days, Used in Calculating the AA Asset-Backed Commercial Paper Rates
Daily, Not Seasonally Adjusted, AB4180AAAMT
Units
Release Dates
Observation Period
Millions of Dollars
2014-02-20 to 2025-03-04
2001-01-02 to 2025-03-03
Millions of Dollars
2025-03-05 to 2025-12-08
2001-01-02 to 2025-12-05
Total Value of Issues, with a Maturity Between 5 and 9 Days, Used in Calculating the AA Asset-Backed Commercial Paper Rates
Daily, Not Seasonally Adjusted, AB59AAAMT
Units
Release Dates
Observation Period
Millions of Dollars
2014-02-20 to 2025-03-04
2001-01-02 to 2025-03-03
Millions of Dollars
2025-03-05 to 2025-12-08
2001-01-02 to 2025-12-05
Total Value of Issues, with a Maturity Greater Than 80 Days, Used in Calculating the AA Asset-Backed Commercial Paper Rates
Daily, Not Seasonally Adjusted, ABGT80AAAMT
Units
Release Dates
Observation Period
Millions of Dollars
2014-02-20 to 2025-03-04
2001-01-02 to 2025-03-03
Millions of Dollars
2025-03-05 to 2025-12-08
2001-01-02 to 2025-12-05
52) Over the Past Three Months, How Have the Terms Under Which High-Grade Corporate Bonds Are Funded Changed?| B. Terms for Most Favored Clients, as a Consequence of Breadth, Duration And/or Extent of Relationship | 4. Collateral Spreads Over Relevant Benchmark (Effective Financing Rates). | Answer Type: Tightened Considerably
Quarterly, Not Seasonally Adjusted, SFQ52B4TCNR
Units
Release Dates
Observation Period
Number of Respondents
2022-12-22 to 2025-06-25
Q4 2011 to Q1 2025
Number of Respondents
2025-06-26 to 2025-09-25
Q4 2011 to Q3 2025
5-Year 0.125% Treasury Inflation-Indexed Bond, Due 10/15/2024 (DISCONTINUED)
Daily, Not Seasonally Adjusted, DTP5C24
Units
Release Dates
Observation Period
Percent
2020-02-21 to 2024-10-15
2020-02-20 to 2024-10-14
Percent
2024-10-16 to 2024-10-16
2020-02-20 to 2024-10-14
Number of Issues, with a Maturity Between 10 and 20 Days, Used in Calculating the AA Financial Commercial Paper Rates
Daily, Not Seasonally Adjusted, FIN1020AAVOL
Units
Release Dates
Observation Period
Number
2014-02-20 to 2025-03-04
2001-01-02 to 2025-03-03
Number of Issues, with a Maturity Between 1 and 4 Days, Used in Calculating the AA Financial Commercial Paper Rates
Daily, Not Seasonally Adjusted, FIN14AAVOL
Units
Release Dates
Observation Period
Number
2014-02-20 to 2025-03-04
2001-01-02 to 2025-03-03
Number
2025-03-05 to 2025-12-08
2001-01-02 to 2025-12-05
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