← Indicators
Rates & Curve 93
Every Rates & Curve series we track, sorted by how far it sits from its own normal range. Tags on the surface, the data in the charts.
Commercial Bank Interest Rate on Credit Card Plans, Accounts Assessed VERY HIGH▼ 11-mo low
2026-02-01
Commercial Bank Interest Rate on Credit Card Plans, All AccountsVERY HIGH
2026-02-01
Market Yield on U.S. Treasury Securities at 30-Year Constant Maturity,VERY HIGH
2026-06-10
Market Yield on U.S. Treasury Securities at 1-Month Constant Maturity,HIGH
2026-06-10
10y Real Yield (TIPS)HIGH▲ 1-yr high
2026-06-10
4-Week Treasury Bill Secondary Market Rate, Discount BasisHIGH
2026-06-10
90-Day AA Asset-Backed Commercial Paper Interest RateHIGH
2026-06-10
3-Month Treasury Constant Maturity Minus Federal Funds RateHIGH
2026-06-10
Market Yield on U.S. Treasury Securities at 20-Year Constant Maturity,HIGH
2026-06-10
20-Year 2-1/2% Treasury Inflation-Indexed Bond, Due 1/15/2029HIGH▲ 12-mo high
2026-06-10
Overnight Bank Funding VolumeHIGH
2026-06-10
Market Yield on U.S. Treasury Securities at 5-Year Constant Maturity, HIGH▲ 1-yr high
2026-06-10
90-Day AA Nonfinancial Commercial Paper Interest RateMID
2026-06-10
Moody's Seasoned Baa Corporate Bond Yield Relative to Yield on 10-YearMID
2026-06-10
Discount Window Primary Credit RateMID▼ 4-yr low
2026-06-10
6-Month Treasury Constant Maturity Minus Federal Funds RateMID
2026-06-10
Market Yield on U.S. Treasury Securities at 10-Year Constant Maturity,MID▲ 10-mo high
2026-05-01
Overnight Bank Funding Rate: 1st PercentileMID▲ 6-mo high
2026-06-10
Market Yield on U.S. Treasury Securities at 5-Year Constant Maturity, MID▲ 10-mo high
2026-05-01
90-Day AA Financial Commercial Paper Interest RateMID
2026-06-10
Overnight A2/P2 Nonfinancial Commercial Paper Interest RateMID
2026-06-10
Overnight AA Financial Commercial Paper Interest RateMID
2026-06-10
30-Day AA Nonfinancial Commercial Paper Interest RateMID
2026-06-10
Treasury Long-Term Average (Over 10 Years), Inflation-IndexedMID
2026-06-10
7-Day A2/P2 Nonfinancial Commercial Paper Interest RateMID
2026-06-10
7-Day AA Financial Commercial Paper Interest RateMID
2026-06-10
Overnight Bank Funding Rate: 25th PercentileMID
2026-06-10
Interest Rate on Reserve Balances (IORB Rate)MID▼ 5-yr low
2026-06-12
Overnight Bank Funding RateMID
2026-06-10
Overnight Bank Funding Rate: 99th PercentileMID▼ 6-mo low
2026-06-10
Overnight Bank Funding Rate: 75th PercentileMID
2026-06-10
Net Percentage of Domestic Banks Reporting Stronger Demand for Auto LoMID▲ 6-mo high
2026-04-01
30-Day A2/P2 Nonfinancial Commercial Paper Interest RateMID
2026-06-10
10-Year 0.5% Treasury Inflation-Indexed Note, Due 1/15/2028MID▲ 1-yr high
2026-06-10
10-Year Treasury Constant Maturity Minus 3-Month Treasury Constant MatMID▲ 4-yr high
2026-05-01
Moody's Seasoned Baa Corporate Bond Minus Federal Funds RateMID
2026-06-10
10y-3m SpreadMID
2026-06-11
Market Yield on U.S. Treasury Securities at 7-Year Constant Maturity, MID
2026-06-10
2s10s SpreadMID
2026-06-11
1-Year Treasury Constant Maturity Minus Federal Funds RateMID▲ 3-yr high
2026-06-10
90-Day A2/P2 Nonfinancial Commercial Paper Interest RateMID
2026-06-10
10-Year 0.125% Treasury Inflation-Indexed Bond, Due 01/15/2030MID
2026-06-10
1-Year Treasury Bill Secondary Market Rate, Discount BasisMID▲ 9-mo high
2026-06-10
SOFRMID
2026-06-10
3-Month Treasury Bill Minus Federal Funds RateMID▲ 2-yr high
2026-05-01
30-Year TreasuryMID
2026-06-10
Rest of the World; Treasury Securities Held by Foreign Official InstitMID▲ 1-yr high
2025-10-01
Balance Sheet: Number of Institutions ReportingMID▼ 5-yr low
2026-01-01
Income and Expense: Number of Institutions ReportingMID▼ 5-yr low
2026-01-01
Moody's Seasoned Aaa Corporate Bond Minus Federal Funds RateMID
2026-06-10
Market Yield on U.S. Treasury Securities at 1-Year Constant Maturity, MID▲ 9-mo high
2026-06-05
Market Yield on U.S. Treasury Securities at 10-Year Constant Maturity,MID
2026-06-05
Market Yield on U.S. Treasury Securities at 5-Year Constant Maturity, MID
2026-06-05
Moody's Seasoned Aaa Corporate Bond Yield Relative to Yield on 10-YearMID
2026-06-10
Balance Sheet: Total Assets: Securities: U.S. Treasury SecuritiesMID
2026-01-01
Market Yield on U.S. Treasury Securities at 1-Year Constant Maturity, MID▲ 9-mo high
2026-06-10
6-Month Treasury Bill Secondary Market Rate, Discount BasisMID
2026-06-10
10-Year Treasury Constant Maturity Minus 2-Year Treasury Constant MatuMID▼ 1-yr low
2026-05-01
Moody's Seasoned Aaa Corporate Bond Yield Relative to Yield on 10-YearMID▼ 6-mo low
2026-05-01
5-Year TreasuryMID
2026-06-10
10-Year TreasuryMID
2026-06-10
Moody's Seasoned Baa Corporate Bond Yield Relative to Yield on 10-YearMID▼ 1-yr low
2026-05-01
3-Month Treasury (par yield)MID
2026-06-11
Market Yield on U.S. Treasury Securities at 3-Year Constant Maturity, MID
2026-06-10
Market Yield on U.S. Treasury Securities at 30-Year Constant Maturity,MID▲ 19-yr high
2026-05-01
Fed Total Assets (balance sheet)MID
2026-06-10
Federal Funds Effective RateMID▼ 4-yr low
2026-06-10
Federal Funds Effective RateMID▼ 4-yr low
2026-06-10
Fed Funds EffectiveMID▼ 5-yr low
2026-06-10
Federal Funds Effective RateMID▼ 4-yr low
2026-05-01
Net Percentage of Domestic Banks Reporting Stronger Demand for CommercMID▼ 6-mo low
2026-04-01
Market Yield on U.S. Treasury Securities at 1-Year Constant Maturity, MID▲ 8-mo high
2026-05-01
2-Year Treasury (par yield)MID
2026-06-11
10-Year Treasury Constant Maturity Minus Federal Funds RateMID▲ 4-yr high
2026-05-01
Market Yield on U.S. Treasury Securities at 5-Year Constant Maturity, MID▲ 1-yr high
2026-05-01
3-Month Treasury Bill Secondary Market Rate, Discount BasisMID
2026-06-10
3-Month Commercial Paper Minus Federal Funds RateMID
2026-06-10
30-Year Treasury (par yield)MID
2026-06-11
5-Year Treasury (par yield)MID
2026-06-11
Market Yield on U.S. Treasury Securities at 2-Year Constant Maturity, MID▲ 1-yr high
2026-05-01
5-Year Treasury Constant Maturity Minus Federal Funds RateMID
2026-06-10
2-Year TreasuryMID
2026-06-10
10-Year Treasury (par yield)MID
2026-06-11
10-Year Treasury Constant Maturity Minus Federal Funds RateMID
2026-06-10
Net Percentage of Domestic Banks Reporting Stronger Demand for CommercMID▼ 1-yr low
2026-04-01
Daily Sterling Overnight Index Average (SONIA) RateMID
2026-06-09
Market Yield on U.S. Treasury Securities at 10-Year Constant Maturity,MID▲ 1-yr high
2026-05-01
Market Yield on U.S. Treasury Securities at 20-Year Constant Maturity,MID▲ 2-yr high
2026-05-01
Market Yield on U.S. Treasury Securities at 20-Year Constant Maturity,MID
2026-06-10
Market Yield on U.S. Treasury Securities at 6-Month Constant Maturity,MID
2026-06-10
3-Month TreasuryMID
2026-06-10
30-Year 0.250% Treasury Inflation-Indexed Bond, Due 02/15/2050MID
2026-06-10
3-Month Treasury Bill Secondary Market Rate, Discount BasisMID
2026-05-01