FRED - Federal Reserve Economic Data

1-Year Treasury Constant Maturity Rate 1.55 % on 2019-11-14 1.53,1.56,1.62,1.58,1.58,1.58,,1.58,1.57,1.55
3-Year Treasury Constant Maturity Rate 1.53 % on Oct 2019 2.52,2.48,2.37,2.31,2.16,1.78,1.80,1.51,1.59,1.53
5-Year Treasury Constant Maturity Rate 1.53 % on Oct 2019 2.54,2.49,2.37,2.33,2.19,1.83,1.83,1.49,1.57,1.53
7-Year Treasury Constant Maturity Rate 1.73 % on 2019-11-14 1.63,1.69,1.77,1.73,1.84,1.86,,1.84,1.79,1.73
10-Year Treasury Constant Maturity Rate 1.82 % on 2019-11-14 1.73,1.79,1.86,1.81,1.92,1.94,,1.92,1.88,1.82
Bank Prime Loan Rate 4.99 % on Oct 2019 5.50,5.50,5.50,5.50,5.50,5.50,5.50,5.25,5.15,4.99
1-Month London Interbank Offered Rate (LIBOR), based on U.S. Dollar 1.76325 % on 2019-11-11 1.78588,1.78138,1.78488,1.77425,1.771,1.76988,1.755,1.758,1.759,1.76325
3-Month London Interbank Offered Rate (LIBOR), based on U.S. Dollar 1.90463 % on 2019-11-11 1.92713,1.90913,1.90225,1.8905,1.90825,1.8935,1.90425,1.90138,1.90063,1.90463
12-Month London Interbank Offered Rate (LIBOR), based on U.S. Dollar 1.99413 % on 2019-11-11 1.98875,1.97988,1.95538,1.92525,1.96,1.96688,1.97663,1.983,1.99975,1.99413