Question: Selected Interest Rates times Instruments 2 0 2 4 Jul 2 4 2 0 2 4 Jul 2 5 2 0 2 4 Jul

Selected Interest Rates
\times
Instruments 2024
Jul
242024
Jul
252024
Jul
262024
Jul
292024
Jul
30
Federal funds (effective)1235.335.335.335.335.33
Commercial Paper 3456
Nonfinancial
1-month n.a. n.a.5.29 n.a.5.29
2-month 5.285.275.25 n.a.5.26
3-month 5.31 n.a. n.a. n.a. n.a.
Financial
1-month n.a. n.a. n.a. n.a. n.a.
2-month n.a. n.a. n.a. n.a.5.25
3-month n.a.5.32 n.a. n.a. n.a.
Bank prime loan 2378.508.508.508.508.50
Discount window primary credit 285.505.505.505.505.50
U.S. government securities
Treasury bills (secondary market)34
4-week 5.295.295.285.295.29
3-month 5.185.175.165.155.14
6-month 4.964.954.954.944.92
1-year 4.624.624.594.594.58
Treasury constant maturities
Nominal 9
1-month 5.505.495.495.505.50
3-month 5.405.395.385.415.40
6-month 5.195.195.185.185.16
1-year 4.824.834.794.794.78
2-year 4.374.414.364.364.35
3-year 4.244.264.204.194.16
5-year 4.124.134.064.054.03
7-year 4.204.184.104.084.06
10-year 4.284.274.204.174.15
20-year 4.624.594.534.514.50
30-year 4.544.504.454.424.40
Inflation indexed 10
5-year 1.992.001.931.921.91
7-year 1.991.991.931.921.91
10-year 2.001.991.931.921.90
20-year 2.152.122.082.062.05
30-year 2.262.242.202.172.16
Inflation-indexed long-term average 112.262.232.192.162.15
1. What are the current levels for each of these interest rates?
2. Calculate the percentage change in each of these rates since December
2022.

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