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Last Observation
First Release Date
First Observation
Title
Series ID
Frequency
Units
Seas Adj
Market Yield on U.S. Treasury Securities at 7-Year Constant Maturity, Quoted on an Investment Basis, Inflation-Indexed
Daily, Not Seasonally Adjusted, DFII7
Units
Release Dates
Observation Period
Percent
2014-04-02 to 2025-01-06
2003-01-02 to 2025-01-03
Percent
2025-01-07 to 2025-03-14
2003-01-02 to 2025-03-13
Amount Outstanding of Total Debt Securities in Non-Financial Corporations Sector, All Maturities, Residence of Issuer in United States
Quarterly, Not Seasonally Adjusted, TDSAMRIAONCUS
Units
Release Dates
Observation Period
Billions of US Dollars
2014-03-09 to 2015-12-05
Q4 1989 to Q1 2015
Millions of US Dollars
2015-12-06 to 2023-06-12
Q1 1952 to Q4 2022
Market Yield on U.S. Treasury Securities at 7-Year Constant Maturity, Quoted on an Investment Basis, Inflation-Indexed
Monthly, Not Seasonally Adjusted, FII7
Units
Release Dates
Observation Period
Percent
2004-01-05 to 2025-01-06
Jan 2003 to Dec 2024
Percent
2025-01-07 to 2025-03-03
Jan 2003 to Feb 2025
Market Yield on U.S. Treasury Securities at 7-Year Constant Maturity, Quoted on an Investment Basis, Inflation-Indexed
Weekly, Not Seasonally Adjusted, WFII7
Units
Release Dates
Observation Period
Percent
2004-01-05 to 2025-01-06
2003-01-03 to 2025-01-03
Percent
2025-01-07 to 2025-03-10
2003-01-03 to 2025-03-07
Market Yield on U.S. Treasury Securities at 7-Year Constant Maturity, Quoted on an Investment Basis, Inflation-Indexed
Annual, Not Seasonally Adjusted, RIFLGFCY07XIINA
Units
Release Dates
Observation Period
Percent
2022-06-03 to 2025-01-06
2003 to 2024
Percent
2025-01-07 to 2025-01-07
2003 to 2024
Composite Yield on U.S. Treasury Bonds with Maturity over 10 Years (DISCONTINUED)
Monthly, Not Seasonally Adjusted, H1RIFLGFY10PNM
Units
Release Dates
Observation Period
Percent
2022-06-03 to 2022-06-03
Jan 1925 to Jun 2000
Composite Yield on U.S. Treasury Bonds with Maturity over 10 Years (DISCONTINUED)
Annual, Not Seasonally Adjusted, H1RIFLGFY10PNA
Units
Release Dates
Observation Period
Percent
2022-06-03 to 2022-06-03
1981 to 2000
3-Month Treasury Constant Maturity Minus Federal Funds Rate
Daily, Not Seasonally Adjusted, T3MFF
Units
Release Dates
Observation Period
Percent
2014-01-27 to 2019-06-20
1982-01-04 to 2019-06-19
Percent
2019-06-21 to 2025-03-14
1982-01-04 to 2025-03-13
3-Month Treasury Constant Maturity Minus Federal Funds Rate
Monthly, Not Seasonally Adjusted, T3MFFM
Units
Release Dates
Observation Period
Percent
2014-05-16 to 2019-06-20
Jan 1982 to May 2019
Percent
2019-06-21 to 2025-03-03
Jan 1982 to Feb 2025
Assets: Securities Held Outright: Mortgage-Backed Securities: Maturing in over 10 Years: Wednesday Level
Weekly, Not Seasonally Adjusted, MBS10Y
Units
Release Dates
Observation Period
Millions of Dollars
2010-02-04 to 2019-08-20
2002-12-18 to 2019-08-14
Millions of U.S. Dollars
2019-08-21 to 2025-03-13
2002-12-18 to 2025-03-12
6-Month Treasury Constant Maturity Minus Federal Funds Rate
Daily, Not Seasonally Adjusted, T6MFF
Units
Release Dates
Observation Period
Percent
2014-01-27 to 2019-06-20
1982-01-04 to 2019-06-19
Percent
2019-06-21 to 2025-03-14
1982-01-04 to 2025-03-13
6-Month Treasury Constant Maturity Minus Federal Funds Rate
Monthly, Not Seasonally Adjusted, T6MFFM
Units
Release Dates
Observation Period
Percent
2014-05-16 to 2025-03-03
Jan 1982 to Feb 2025
Mortgage-backed securities held by the Federal Reserve: All Maturities (DISCONTINUED)
Weekly, Not Seasonally Adjusted, MBST
Units
Release Dates
Observation Period
Millions of Dollars
2010-02-04 to 2018-06-13
2002-12-18 to 2018-06-06
Millions of Dollars
2018-06-14 to 2018-06-14
2002-12-18 to 2018-06-13
Assets: Securities Held Outright: U.S. Treasury Securities: Maturing in over 1 Year to 5 Years: Wednesday Level
Weekly, Not Seasonally Adjusted, TREAS1T5
Units
Release Dates
Observation Period
Millions of Dollars
2010-02-04 to 2019-08-20
2002-12-18 to 2019-08-14
Millions of U.S. Dollars
2019-08-21 to 2025-03-13
2002-12-18 to 2025-03-12
Quarterly Financial Report: U.S. Corporations: All Information: Short-Term Debt, Original Maturity of 1 Year or Less: Other Short-Term Loans, Including Commercial Paper
Quarterly, Not Seasonally Adjusted, QFRD304INFUSNO
Units
Release Dates
Observation Period
Millions of Dollars
2017-09-06 to 2024-12-10
Q4 2009 to Q3 2024
Assets: Securities Held Outright: U.S. Treasury Securities: Maturing in over 5 Years to 10 Years: Wednesday Level
Weekly, Not Seasonally Adjusted, TREAS5T10
Units
Release Dates
Observation Period
Millions of Dollars
2010-02-04 to 2019-08-20
2002-12-18 to 2019-08-14
Millions of U.S. Dollars
2019-08-21 to 2025-03-13
2002-12-18 to 2025-03-12
Assets: Securities Held Outright: U.S. Treasury Securities: Maturing Within 15 Days: Wednesday Level
Weekly, Not Seasonally Adjusted, TREAS15
Units
Release Dates
Observation Period
Millions of Dollars
2010-02-04 to 2019-08-20
2002-12-18 to 2019-08-14
Millions of U.S. Dollars
2019-08-21 to 2025-03-13
2002-12-18 to 2025-03-12
Assets: Securities Held Outright: Federal Agency Debt Securities: All: Wednesday Level
Weekly, Not Seasonally Adjusted, FEDDT
Units
Release Dates
Observation Period
Millions of Dollars
2010-02-04 to 2019-08-20
2002-12-18 to 2019-08-14
Millions of U.S. Dollars
2019-08-21 to 2025-03-13
2002-12-18 to 2025-03-12
Average Maturity of New Car Loans at Finance Companies, Amount of Finance Weighted
Monthly, Not Seasonally Adjusted, DTCTLVENMNM
Units
Release Dates
Observation Period
Months
2015-07-08 to 2025-02-06
Mar 2008 to Sep 2024
Months
2025-02-07 to 2025-03-07
Mar 2008 to Dec 2024
Average Maturity of New Car Loans at Finance Companies, Amount of Finance Weighted
Quarterly, Not Seasonally Adjusted, DTCTLVENMNQ
Units
Release Dates
Observation Period
Months
2015-12-30 to 2024-12-20
Q1 2008 to Q3 2024
Assets: Securities Held Outright: U.S. Treasury Securities: Maturing in 91 Days to 1 Year: Wednesday Level
Weekly, Not Seasonally Adjusted, TREAS911Y
Units
Release Dates
Observation Period
Millions of Dollars
2010-02-04 to 2019-08-20
2002-12-18 to 2019-08-14
Millions of U.S. Dollars
2019-08-21 to 2025-03-13
2002-12-18 to 2025-03-12
Amount Outstanding of International Debt Securities for All Issuers, All Maturities, Residence of Issuer in All countries
Quarterly, Not Seasonally Adjusted, IDSAMRIAO3P
Units
Release Dates
Observation Period
Billions of US Dollars
2014-03-09 to 2015-12-05
Q1 1987 to Q2 2015
Millions of US Dollars
2015-12-06 to 2025-03-11
Q4 1962 to Q4 2024
Assets: Securities Held Outright: U.S. Treasury Securities: Maturing in 16 Days to 90 Days: Wednesday Level
Weekly, Not Seasonally Adjusted, TREAS1590
Units
Release Dates
Observation Period
Millions of Dollars
2010-02-04 to 2019-08-20
2002-12-18 to 2019-08-14
Millions of U.S. Dollars
2019-08-21 to 2025-03-13
2002-12-18 to 2025-03-12
Deposits with F.R. Banks, other than reserve balances: Term deposits held by depository institutions: All Maturities
Weekly, Not Seasonally Adjusted, TERMT
Units
Release Dates
Observation Period
Millions of Dollars
2010-07-01 to 2019-08-20
2002-12-18 to 2019-08-14
Weighted-Average Maturity for All Commercial and Industry Loans, All Commercial Banks (DISCONTINUED)
Quarterly, Not Seasonally Adjusted, EDANQ
Units
Release Dates
Observation Period
Days
2011-03-21 to 2017-08-01
Q2 1997 to Q1 2017
Days
2017-08-02 to 2017-08-02
Q2 1997 to Q2 2017
Amount Outstanding of Total Debt Securities in General Government Sector, All Maturities, Residence of Issuer in United States
Quarterly, Not Seasonally Adjusted, TDSAMRIAOGGUS
Units
Release Dates
Observation Period
Billions of US Dollars
2014-03-09 to 2015-12-05
Q4 1989 to Q1 2015
Millions of US Dollars
2015-12-06 to 2023-06-12
Q1 1952 to Q4 2022
Composite Yield on U.S. Treasury Bonds with Maturity over 10 Years (DISCONTINUED)
Daily, Not Seasonally Adjusted, DLTBOARD
Units
Release Dates
Observation Period
Percent
2000-06-05 to 2022-06-03
1981-07-01 to 2000-06-30
Balance Sheet: Total Assets: Securities: Held to Maturity (Amortized Cost)
Quarterly, Not Seasonally Adjusted, QBPBSTASSCHLDMAT
Units
Release Dates
Observation Period
Millions of U.S. Dollars
2021-02-23 to 2025-02-25
Q1 1994 to Q4 2024
Composite Yield on U.S. Treasury Bonds with Maturity over 10 Years (DISCONTINUED)
Weekly, Not Seasonally Adjusted, LTBOARD
Units
Release Dates
Observation Period
Percent
1996-12-09 to 2000-07-03
1965-01-01 to 2000-06-30
Reverse repurchase agreements held by the Federal Reserve: Maturing within 15 days
Weekly, Not Seasonally Adjusted, RREP15
Units
Release Dates
Observation Period
Millions of Dollars
2010-02-04 to 2019-08-20
2002-12-18 to 2019-08-14
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