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1,012 Series

1-Year Treasury Constant Maturity Rate    
Percent, Not Seasonally Adjusted
Daily 1962-01-02 to 2014-10-17 (3 hours ago)
Monthly 1953-04 to 2014-09 (Oct 6)
Weekly 1962-01-05 to 2014-10-17 (2 hours ago)
 
12-Month London Interbank Offered Rate (LIBOR), based on U.S. Dollar©    
Percent, Daily, Not Seasonally Adjusted1986-01-02 to 2014-10-13 (12 hours ago)
 
1-Year Treasury Bill: Secondary Market Rate    
Percent, Not Seasonally Adjusted
Monthly 1959-07 to 2014-09 (Oct 6)
Daily 1959-07-15 to 2014-10-17 (3 hours ago)
Weekly 1959-07-17 to 2014-10-17 (2 hours ago)
 
1-Year Swap Rate    
Percent, Not Seasonally Adjusted
Daily 2000-07-03 to 2014-10-17 (3 hours ago)
Monthly 2000-07 to 2014-09 (Oct 6)
Weekly 2000-07-07 to 2014-10-17 (2 hours ago)
 
1-Year Adjustable Rate Mortgage Average in the United States©    
Percent, Weekly, Not Seasonally Adjusted1984-01-06 to 2014-10-16 (4 days ago)
 
National Rate on Non-Jumbo Deposits (less than $100,000): 12 Month CD    
Percent, Weekly, Not Seasonally Adjusted2009-05-18 to 2014-10-20 (8 hours ago)
 
12-Month London Interbank Offered Rate (LIBOR), based on British Pound©    
Percent, Daily, Not Seasonally Adjusted1986-01-02 to 2014-10-13 (12 hours ago)
 
12-Month London Interbank Offered Rate (LIBOR), based on Euro©    
Percent, Daily, Not Seasonally Adjusted1999-01-04 to 2014-10-13 (12 hours ago)
 
U.S. Treasury securities held by the Federal Reserve: Maturing in over 1 year to 5 years    
Millions of Dollars, Weekly, Not Seasonally Adjusted2002-12-18 to 2014-10-15 (4 days ago)
 
1-Year Treasury Bill: Secondary Market Rate (DISCONTINUED SERIES)    
Percent, Not Seasonally Adjusted
Monthly 1959-07 to 2001-07 (2006-06-07)
Daily 1962-02-01 to 2001-08-24 (2001-08-24)
Weekly 1959-07-17 to 2001-08-24 (2006-08-16)
 
National Rate on Jumbo Deposits (greater or equal to $100,000): 12 Month CD    
Percent, Weekly, Not Seasonally Adjusted2009-05-18 to 2014-10-20 (8 hours ago)
 
12-Month London Interbank Offered Rate (LIBOR), based on Japanese Yen©    
Percent, Daily, Not Seasonally Adjusted1986-01-02 to 2014-10-13 (12 hours ago)
 
1-Year Treasury Constant Maturity Minus Federal Funds Rate    
Percent, Not Seasonally Adjusted
Daily 1962-01-02 to 2014-10-17 (2 hours ago)
Monthly 1954-07 to 2014-09 (Oct 6)
 
U.S. Treasury securities held by the Federal Reserve: Maturing in 91 days to 1 year    
Millions of Dollars, Weekly, Not Seasonally Adjusted2002-12-18 to 2014-10-15 (4 days ago)
 
1-Year Treasury Bill Rate: Auction Average (DISCONTINUED SERIES)    
Percent, Not Seasonally Adjusted
Monthly 1959-04 to 2000-06 (2006-06-07)
Weekly 1959-04-03 to 2000-06-02 (2006-07-27)
 
Mortgage-backed securities held by the Federal Reserve: Maturing in over 1 year to 5 years    
Millions of Dollars, Weekly, Not Seasonally Adjusted2002-12-18 to 2014-10-15 (4 days ago)
 
Mortgage-backed securities held by the Federal Reserve: Maturing in 91 days to 1 year    
Millions of Dollars, Weekly, Not Seasonally Adjusted2002-12-18 to 2014-10-15 (4 days ago)
 
12-Month London Interbank Offered Rate (LIBOR), based on Swiss Frank©    
Percent, Daily, Not Seasonally Adjusted1989-01-03 to 2014-10-13 (12 hours ago)
 
Margin for 1-Year Adjustable Rate Mortgage in the United States©    
Percent, Weekly, Not Seasonally Adjusted1986-12-05 to 2014-10-16 (4 days ago)
 
Federal agency debt securities held by the Federal Reserve: Maturing in over 1 year to 5 years    
Millions of Dollars, Weekly, Not Seasonally Adjusted2002-12-18 to 2014-10-15 (4 days ago)
 
Amount Outstanding Due Within One Year of International Debt Securities for All Issuers, Residence of Issuer in Spain©    
Billions of US Dollars, Quarterly, Not Seasonally Adjusted1993:Q3 to 2014:Q2 (Sep 15)
 
Federal agency debt securities held by the Federal Reserve: Maturing in 91 days to 1 year    
Millions of Dollars, Weekly, Not Seasonally Adjusted2002-12-18 to 2014-10-15 (4 days ago)
 
Other loans held by the Federal Reserve: Maturing in over 1 year to 5 years    
Millions of Dollars, Weekly, Not Seasonally Adjusted2002-12-18 to 2014-10-15 (4 days ago)
 
Rate Cap on Non-Jumbo Deposits (less than $100,000): 12 Month CD    
Percent, Weekly, Not Seasonally Adjusted2009-05-18 to 2014-10-20 (8 hours ago)
 
Amount Outstanding Due Within One Year of International Debt Securities for All Issuers, Nationality of Issuer in Former Czechoslovakia©    
Billions of US Dollars, Quarterly, Not Seasonally Adjusted1993:Q3 to 2014:Q2 (Sep 15)
 
Amount Outstanding Due Within One Year of International Debt Securities for General Government Sector, Nationality of Issuer in Spain©    
Billions of US Dollars, Quarterly, Not Seasonally Adjusted1993:Q3 to 2014:Q2 (Sep 15)
 
Amount Outstanding Due Within One Year of International Debt Securities for Non-financial Corporations Sector, Nationality of Issuer in Portugal©    
Billions of US Dollars, Quarterly, Not Seasonally Adjusted1993:Q3 to 2014:Q2 (Sep 15)
 
Asset-backed securities held by TALF LLC holdings (Face value): Maturing in 91 days to 1 year    
Millions of Dollars, Weekly, Not Seasonally Adjusted2002-12-18 to 2014-10-15 (4 days ago)
 
Rate Cap on Jumbo Deposits (greater or equal to $100,000): 12 Month CD    
Percent, Weekly, Not Seasonally Adjusted2009-05-18 to 2014-10-20 (8 hours ago)
 
Amount Outstanding Due Within One Year of International Debt Securities for All Issuers, Nationality of Issuer in Greece©    
Billions of US Dollars, Quarterly, Not Seasonally Adjusted1993:Q3 to 2014:Q2 (Sep 15)
 
Amount Outstanding Due Within One Year of International Debt Securities for All Issuers, Nationality of Issuer in Portugal©    
Billions of US Dollars, Quarterly, Not Seasonally Adjusted1993:Q3 to 2014:Q2 (Sep 15)
 
Amount Outstanding Due Within One Year of International Debt Securities for All Issuers, Nationality of Issuer in South Africa©    
Billions of US Dollars, Quarterly, Not Seasonally Adjusted1993:Q3 to 2014:Q2 (Sep 15)
 
Amount Outstanding Due Within One Year of International Debt Securities for All Issuers, Residence of Issuer in Indonesia©    
Billions of US Dollars, Quarterly, Not Seasonally Adjusted1993:Q3 to 2014:Q2 (Sep 15)
 
Amount Outstanding Due Within One Year of International Debt Securities for Financial Corporations Sector, Nationality of Issuer in Spain©    
Billions of US Dollars, Quarterly, Not Seasonally Adjusted1993:Q3 to 2014:Q2 (Sep 15)
 
Amount Outstanding Due Within One Year of International Debt Securities for General Government Sector, Nationality of Issuer in Colombia©    
Billions of US Dollars, Quarterly, Not Seasonally Adjusted1993:Q3 to 2014:Q2 (Sep 15)
 
Amount Outstanding Due Within One Year of International Debt Securities for General Government Sector, Residence of Issuer in Spain©    
Billions of US Dollars, Quarterly, Not Seasonally Adjusted1993:Q3 to 2014:Q2 (Sep 15)
 
Deposits with F.R. Banks, Term deposits held by depository institutions: Maturing in 91 days to 1 year    
Millions of Dollars, Weekly, Not Seasonally Adjusted2010-06-23 to 2014-10-15 (4 days ago)
 
Origination Fees and Discount Points for 1-Year Adjustable Rate Mortgage in the United States©    
Percent, Weekly, Not Seasonally Adjusted1984-01-06 to 2014-10-16 (4 days ago)
 
Amount Outstanding Due Within One Year of International Debt Securities for All Issuers, Nationality of Issuer in Argentina©    
Billions of US Dollars, Quarterly, Not Seasonally Adjusted1993:Q3 to 2014:Q2 (Sep 15)
 
Amount Outstanding Due Within One Year of International Debt Securities for All Issuers, Nationality of Issuer in China©    
Billions of US Dollars, Quarterly, Not Seasonally Adjusted1993:Q3 to 2014:Q2 (Sep 15)
 

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