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  1. 10 Year Treasury Rate - 54 Year Historical Chart. Interactive chart showing the daily 10 year treasury yield back to 1962. The 10 year treasury is the benchmark used to decide mortgage rates across the U.S. and is the most liquid and widely traded bond in the world. The current 10 year treasury yield as of November 18, 2024 is 4.42%.

  2. Nov 7, 2024 · Monthly Yield History for The United States Ten Year Treasury Note. ... January of 1981: 12.57: February of 1981: ... Prime Rate vs Mortgages Rates vs 10-Year ...

  3. Jan 1, 2020 · 10 Year Treasury Rate table by year, historic, and current data. Current 10 Year Treasury Rate is 4.41%, a change of +2.00 bps from previous market close.

  4. Nov 14, 2024 · The 10 Year Treasury Rate is the yield received for investing in a US government issued treasury security that has a maturity of 10 year. The 10 year treasury yield is included on the longer end of the yield curve. Many analysts will use the 10 year yield as the "risk free" rate when valuing the markets or an individual security. Historically ...

    Date
    Value
    November 18, 2024
    4.42%
    November 15, 2024
    4.43%
    November 14, 2024
    4.43%
    November 13, 2024
    4.44%
    • Interest Rates
    • Daily Treasury Yield Curve Rates
    • United States
    • Department of the Treasury
  5. Market Yield on U.S. Treasury Securities at 10-Year Constant Maturity, Quoted on an Investment Basis: Series ID: GS10: Source: Board of Governors of the Federal Reserve System (US) Release: H.15 Selected Interest Rates: Seasonal Adjustment: Not Seasonally Adjusted: Frequency: Monthly: Units: Percent: Date Range: 1953-04-01 to 2024-10-01: Last ...

    • H.15 Selected Interest Rates
    • GS10
  6. From 1979 to 1982 the Fed targeted M2 money supply growth instead of interest rates. Prior to 1982 the Fed did not publicize interest rate targets, but the Effective Federal Funds rate canbe used to infer the effect of open market operations during those years.

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  8. Jul 26, 2020 · Data includes the Effective Federal Funds Rate, 10-Year Treasury Constant Maturity Rate, and 3-Month Treasury Bill: Secondary Market Rate. ALTERNATE TITLES: U.S. Government Security Yields and Prices (H.15), 1956-1975; Open Market Money Rates and Bond Prices (H.15), 1976-1977; Selected Interest Rates and Bond Prices (H.15), 1977-1979

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