Series         Series Description         2023-052023-062023-072023-082023-092023-102023-112023-122024-012024-022024-032024-04
RIFSPFF_N.MFederal funds5.065.085.125.335.335.335.335.335.335.335.335.33
RIFSPPNAAD30_N.M1-month nonfinancial commercial paper5.065.105.165.305.315.335.335.325.325.315.325.31
RIFSPPNAAD60_N.M2-month nonfinancial commercial paper5.105.175.175.335.335.355.355.345.305.275.325.32
RIFSPPNAAD90_N.M3-month nonfinancial commercial paper5.105.20ND5.345.345.385.385.365.31ND5.325.34
RIFSPPFAAD30_N.M1-month financial commercial paper5.085.135.225.375.385.385.375.335.315.325.315.33
RIFSPPFAAD60_N.M2-month financial commercial paper5.145.265.345.435.485.435.435.425.315.335.325.31
RIFSPPFAAD90_N.M3-month financial commercial paper5.155.225.355.445.495.465.415.325.265.225.295.33
RIFSPBLP_N.MPrime rate8.238.258.298.508.508.508.508.508.508.508.508.50
RIFSRP_F02_N.MDiscount rate5.235.255.295.505.505.505.505.505.505.505.505.50
RIFSGFSW04_N.M4-week Treasury bill5.315.045.205.285.295.305.295.275.285.285.285.28
RIFSGFSM03_N.M3-month Treasury bill5.145.165.255.305.325.345.275.245.225.245.245.24
RIFSGFSM06_N.M6-month Treasury bill5.035.195.275.285.315.335.245.125.025.095.115.15
RIFSGFSY01_N.M1-year Treasury bill4.694.985.105.095.155.155.014.724.574.694.764.89
RIFLGFCM01_N.M1-month Treasury constant maturity5.495.205.395.545.535.575.535.545.545.495.515.48
RIFLGFCM03_N.M3-month Treasury constant maturity5.315.425.495.565.565.605.525.445.455.445.475.44
RIFLGFCM06_N.M6-month Treasury constant maturity5.275.425.535.545.515.575.445.345.215.285.365.38
RIFLGFCY01_N.M1-year Treasury constant maturity4.915.245.375.375.445.425.284.964.794.924.995.14
RIFLGFCY02_N.M2-year Treasury constant maturity4.134.644.834.905.025.074.884.464.324.544.594.87
RIFLGFCY03_N.M3-year Treasury constant maturity3.824.274.474.594.744.894.644.194.114.334.384.71
RIFLGFCY05_N.M5-year Treasury constant maturity3.593.954.144.314.494.774.494.003.984.194.204.56
RIFLGFCY07_N.M7-year Treasury constant maturity3.583.854.034.264.464.824.534.044.034.214.214.56
RIFLGFCY10_N.M10-year Treasury constant maturity3.573.753.904.174.384.804.504.024.064.214.214.54
RIFLGFCY20_N.M20-year Treasury constant maturity3.964.044.154.464.655.134.844.324.394.494.464.77
RIFLGFCY30_N.M30-year Treasury constant maturity3.863.873.964.284.474.954.664.144.264.384.364.66
RIFLGFCY05_XII_N.M5-year inflation indexed Treasury constant maturity1.441.811.932.072.232.462.241.881.761.871.822.11
RIFLGFCY07_XII_N.M7-year inflation indexed Treasury constant maturity1.391.651.741.932.122.432.221.851.771.891.852.12
RIFLGFCY10_XII_N.M10-year inflation indexed Treasury constant maturity1.361.551.601.832.042.412.201.841.791.931.902.15
RIFLGFCY20_XII_N.M20-year inflation indexed Treasury constant maturity1.481.561.601.882.072.452.231.901.922.042.012.24
RIFLGFCY30_XII_N.M30-year inflation indexed Treasury constant maturity1.601.641.691.972.132.482.261.952.022.122.092.31
RIFLGFL_XII_N.MInflation indexed long-term average1.641.691.752.022.182.552.332.022.062.142.112.34