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United States Fed Funds Interest Rate - data, historical chart, forecasts and calendar of releases - was last updated on December of 2024. The benchmark interest rate in the United States was last recorded at 4.75 percent.
- Banks Balance Sheet
Banks Balance Sheet in the United States increased to...
- Loans to Private Sector
Loans to Private Sector in the United States increased to...
- Job Offers
Job Offers in the United States decreased to 7443 Thousand...
- Core Inflation Rate
Core Inflation Rate in the United States averaged 3.63...
- Indicators
Trading Economics provides data for 20 million economic...
- Calendar
This page displays a table with actual values, consensus...
- Money Supply M2
Money Supply M2 in the United States increased to 21221.20...
- Repo Rate
Repo Rate in the United States remained unchanged at 5.37 on...
- Banks Balance Sheet
Federal Funds Rate - 62 Year Historical Chart. Shows the daily level of the federal funds rate back to 1954. The fed funds rate is the interest rate at which depository institutions (banks and credit unions) lend reserve balances to other depository institutions overnight, on an uncollateralized basis.
Treasury provides historical data back to 2000. View Daily Treasury Real Long-Term Rate Averages.
1 Νοε 2024 · View data of the Effective Federal Funds Rate, or the interest rate depository institutions charge each other for overnight loans of funds.
This is a web application for exploring US Treasury interest rates. You can view past interest rate yield curves by using the arrows around the date slider or by changing the date within the box. Use the pin button to stick a copy to the chart for comparison against other dates.
3 ημέρες πριν · View data of the Effective Federal Funds Rate, or the interest rate depository institutions charge each other for overnight loans of funds.
Interactive chart showing the daily 1 year treasury yield back to 1962. The values shown are daily data published by the Federal Reserve Board based on the average yield of a range of Treasury securities, all adjusted to the equivalent of a one-year maturity.