Series         Series Description         2024-032024-042024-052024-062024-072024-082024-092024-102024-112024-122025-012025-02
RIFSPFF_N.MFederal funds5.335.335.335.335.335.335.134.834.644.484.334.33
RIFSPPNAAD30_N.M1-month nonfinancial commercial paper5.325.315.325.315.305.295.024.784.624.504.324.31
RIFSPPNAAD60_N.M2-month nonfinancial commercial paper5.325.325.325.325.305.225.044.694.594.474.284.29
RIFSPPNAAD90_N.M3-month nonfinancial commercial paper5.325.34ND5.325.265.124.854.614.574.434.234.27
RIFSPPFAAD30_N.M1-month financial commercial paper5.315.335.325.325.325.255.074.764.614.514.344.33
RIFSPPFAAD60_N.M2-month financial commercial paper5.325.315.32ND5.295.234.924.704.554.494.324.32
RIFSPPFAAD90_N.M3-month financial commercial paper5.295.335.335.285.315.124.864.624.534.464.334.34
RIFSPBLP_N.MPrime rate8.508.508.508.508.508.508.308.007.817.657.507.50
RIFSRP_F02_N.MDiscount rate5.505.505.505.505.505.505.305.004.814.654.504.50
RIFSGFSW04_N.M4-week Treasury bill5.285.285.275.255.285.254.864.714.534.314.254.25
RIFSGFSM03_N.M3-month Treasury bill5.245.245.255.245.205.054.724.514.424.274.214.22
RIFSGFSM06_N.M6-month Treasury bill5.115.155.175.155.014.744.424.304.314.194.154.19
RIFSGFSY01_N.M1-year Treasury bill4.764.894.914.874.684.253.874.034.144.054.004.01
RIFLGFCM01_N.M1-month Treasury constant maturity5.515.485.505.465.485.505.064.924.714.504.424.37
RIFLGFCM03_N.M3-month Treasury constant maturity5.475.445.465.515.435.304.924.724.624.394.344.33
RIFLGFCM06_N.M6-month Treasury constant maturity5.365.385.425.375.254.964.554.444.434.324.264.30
RIFLGFCY01_N.M1-year Treasury constant maturity4.995.145.165.114.904.434.034.204.334.234.184.19
RIFLGFCY02_N.M2-year Treasury constant maturity4.594.874.864.744.503.973.623.974.264.234.274.21
RIFLGFCY03_N.M3-year Treasury constant maturity4.384.714.664.504.293.793.513.904.214.224.334.22
RIFLGFCY05_N.M5-year Treasury constant maturity4.204.564.504.324.163.713.503.914.234.254.434.28
RIFLGFCY07_N.M7-year Treasury constant maturity4.214.564.494.304.193.773.603.994.294.324.534.37
RIFLGFCY10_N.M10-year Treasury constant maturity4.214.544.484.314.253.873.724.104.364.394.634.45
RIFLGFCY20_N.M20-year Treasury constant maturity4.464.774.714.544.564.254.104.444.634.664.924.73
RIFLGFCY30_N.M30-year Treasury constant maturity4.364.664.624.444.464.154.044.384.544.584.854.68
RIFLGFCY05_XII_N.M5-year inflation indexed Treasury constant maturity1.822.112.172.101.981.741.531.681.841.891.941.67
RIFLGFCY07_XII_N.M7-year inflation indexed Treasury constant maturity1.852.122.162.071.971.751.561.741.941.992.101.87
RIFLGFCY10_XII_N.M10-year inflation indexed Treasury constant maturity1.902.152.152.051.971.761.621.812.032.092.232.03
RIFLGFCY20_XII_N.M20-year inflation indexed Treasury constant maturity2.012.242.222.112.091.911.801.992.182.242.422.25
RIFLGFCY30_XII_N.M30-year inflation indexed Treasury constant maturity2.092.312.282.172.182.031.932.102.252.312.502.35
RIFLGFL_XII_N.MInflation indexed long-term average2.112.342.302.182.182.021.912.082.242.312.492.30