FRED - Federal Reserve Economic Data

1-Year Treasury Constant Maturity Rate 1.55 % on 2020-01-23 1.53,1.53,1.53,1.54,1.54,1.56,,1.54,1.55,1.55
3-Year Treasury Constant Maturity Rate 1.63 % on Dec 2019 2.37,2.31,2.16,1.78,1.80,1.51,1.59,1.53,1.61,1.63
5-Year Treasury Constant Maturity Rate 1.68 % on Dec 2019 2.37,2.33,2.19,1.83,1.83,1.49,1.57,1.53,1.64,1.68
7-Year Treasury Constant Maturity Rate 1.65 % on 2020-01-23 1.74,1.76,1.74,1.71,1.73,1.74,,1.69,1.68,1.65
10-Year Treasury Constant Maturity Rate 1.74 % on 2020-01-23 1.83,1.85,1.82,1.79,1.81,1.84,,1.78,1.77,1.74
Bank Prime Loan Rate 4.75 % on Dec 2019 5.50,5.50,5.50,5.50,5.50,5.25,5.15,4.99,4.75,4.75
1-Month London Interbank Offered Rate (LIBOR), based on U.S. Dollar 1.65338 % on 2020-01-20 1.699,1.67713,1.68363,1.67663,1.67625,1.66963,1.669,1.65775,1.65438,1.65338
3-Month London Interbank Offered Rate (LIBOR), based on U.S. Dollar 1.80213 % on 2020-01-20 1.878,1.834,1.84788,1.83775,1.83125,1.84263,1.83613,1.82663,1.81913,1.80213
12-Month London Interbank Offered Rate (LIBOR), based on U.S. Dollar 1.92463 % on 2020-01-20 1.9545,1.95113,1.96875,1.96663,1.962,1.96313,1.95275,1.93013,1.923,1.92463