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Select:
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Observation Range
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All,
None
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Series ID
|
Title
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Start
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End
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Freq.
|
Units
|
Seas. Adj.
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Updated
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LOANS
|
Total Loans and Leases at Commercial Banks |
1947-01-01 |
2008-08-01 |
M |
Bil. of $ |
SA |
2008-10-06 |
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BUSLOANS
|
Commercial and Industrial Loans at All Commercial Banks |
1947-01-01 |
2008-08-01 |
M |
Bil. of $ |
SA |
2008-10-06 |
|
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LOANINV
|
Total Loans and Investments at All Commercial Banks |
1947-01-01 |
2008-08-01 |
M |
Bil. of $ |
SA |
2008-10-06 |
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OTHSEC
|
Other Securities at All Commercial Banks |
1947-01-01 |
2008-08-01 |
M |
Bil. of $ |
SA |
2008-10-06 |
|
|
REALLN
|
Real Estate Loans at All Commercial Banks |
1947-01-01 |
2008-08-01 |
M |
Bil. of $ |
SA |
2008-10-06 |
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CONSUMER
|
Consumer (Individual) Loans at All Commercial Banks |
1947-01-01 |
2008-08-01 |
M |
Bil. of $ |
SA |
2008-10-06 |
|
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USGSEC
|
U.S. Government Securities at All Commercial Banks |
1947-01-01 |
2008-08-01 |
M |
Bil. of $ |
SA |
2008-10-06 |
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INVEST
|
Total Investments at All Commercial Banks |
1947-01-01 |
2008-08-01 |
M |
Bil. of $ |
SA |
2008-10-06 |
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WTP10J09
|
10-Year 3-7/8% Treasury Inflation-Indexed Note, Due 1/15/2009 |
1999-01-15 |
2008-10-03 |
W |
% |
NA |
2008-10-06 |
|
|
DCD1M
|
1-Month Certificate of Deposit: Secondary Market Rate |
1965-12-22 |
2008-10-02 |
D |
% |
NA |
2008-10-06 |
|
|
CIBOARD
|
Commercial and Industrial Loans of Weekly Reporting Large Commercial Banks |
1988-01-06 |
2008-09-24 |
W |
Bil. of $ |
SA |
2008-10-06 |
|
|
DTP30A29
|
30-Year 3-7/8% Treasury Inflation-Indexed Bond, Due 4/15/2029 |
1999-04-09 |
2008-10-03 |
D |
% |
NA |
2008-10-06 |
|
|
WTP5A11
|
5-Year Treasury Inflation-Indexed Note, Due 4/15/2011 |
2006-04-28 |
2008-10-03 |
W |
% |
NA |
2008-10-06 |
|
|
DCPN30
|
1-Month AA Nonfinancial Commercial Paper Rate |
1997-01-02 |
2008-10-02 |
D |
% |
NA |
2008-10-06 |
|
|
DCD6M
|
6-Month Certificate of Deposit: Secondary Market Rate |
1964-06-11 |
2008-10-02 |
D |
% |
NA |
2008-10-06 |
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WTP10J11
|
10-Year 3-1/2% Treasury Inflation-Indexed Note, Due 1/15/2011 |
2001-01-19 |
2008-10-03 |
W |
% |
NA |
2008-10-06 |
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DPCREDIT
|
Primary Credit Rate |
2003-01-09 |
2008-10-02 |
D |
% |
NA |
2008-10-06 |
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DFII5
|
5-Year Treasury Inflation-Indexed Security, Constant Maturity |
2003-01-02 |
2008-10-02 |
D |
% |
NA |
2008-10-06 |
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WTP10L13
|
10-Year 1-7/8% Treasury Inflation-Indexed Note, Due 7/15/2013 |
2003-07-25 |
2008-10-03 |
W |
% |
NA |
2008-10-06 |
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DTP10L12
|
10-Year 3% Treasury Inflation-Indexed Note, Due 7/15/2012 |
2002-08-01 |
2008-10-03 |
D |
% |
NA |
2008-10-06 |
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DTP10J09
|
10-Year 3-7/8% Treasury Inflation-Indexed Note, Due 1/15/2009 |
1999-01-07 |
2008-10-03 |
D |
% |
NA |
2008-10-06 |
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WTP10J15
|
10-Year 1-5/8% Treasury Inflation-Indexed Note, Due 1/15/2015 |
2005-01-21 |
2008-10-03 |
W |
% |
NA |
2008-10-06 |
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DTB4WK
|
4-Week Treasury Bill: Secondary Market Rate |
2001-07-31 |
2008-10-02 |
D |
% |
NA |
2008-10-06 |
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WTP30A28
|
30-Year 3-5/8% Treasury Inflation-Indexed Bond, Due 4/15/2028 |
1998-04-17 |
2008-10-03 |
W |
% |
NA |
2008-10-06 |
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DTP30A28
|
30-Year 3-5/8% Treasury Inflation-Indexed Bond, Due 4/15/2028 |
1998-04-13 |
2008-10-03 |
D |
% |
NA |
2008-10-06 |
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WTP10L12
|
10-Year 3% Treasury Inflation-Indexed Note, Due 7/15/2012 |
2002-08-09 |
2008-10-03 |
W |
% |
NA |
2008-10-06 |
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|
WTP10J12
|
10-Year 3-3/8% Treasury Inflation-Indexed Note, Due 1/15/2012 |
2002-01-18 |
2008-10-03 |
W |
% |
NA |
2008-10-06 |
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DTP5A11
|
5-Year Treasury Inflation-Indexed Note, Due 4/15/2011 |
2006-04-26 |
2008-10-03 |
D |
% |
NA |
2008-10-06 |
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DTP3HA32
|
30-1/2-Year 3-3/8% Treasury Inflation-Indexed Bond, Due 4/15/2032 |
2001-10-15 |
2008-10-03 |
D |
% |
NA |
2008-10-06 |
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WTP10J14
|
10-Year 2% Treasury Inflation-Indexed Note, Due 1/15/2014 |
2004-01-16 |
2008-10-03 |
W |
% |
NA |
2008-10-06 |
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DCPN2M
|
2-Month AA Nonfinancial Commercial Paper Rate |
1997-01-02 |
2008-10-02 |
D |
% |
NA |
2008-10-06 |
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DCPF2M
|
2-Month AA Financial Commercial Paper Rate |
1997-01-02 |
2008-10-02 |
D |
% |
NA |
2008-10-06 |
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DGS6MO
|
6-Month Treasury Constant Maturity Rate |
1982-01-04 |
2008-10-02 |
D |
% |
NA |
2008-10-06 |
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DTP10L18
|
10-Year 1-3/8% Treasury Inflation-Indexed Note, Due 7/15/2018 |
2008-07-21 |
2008-10-03 |
D |
% |
NA |
2008-10-06 |
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WTP10J18
|
10-Year 1-5/8% Treasury Inflation-Indexed Note, Due 1/15/2018 |
2008-01-18 |
2008-10-03 |
W |
% |
NA |
2008-10-06 |
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WTP10L16
|
10-Year 2-1/2% Treasury Inflation-Indexed Note, Due 7/15/2016 |
2006-07-21 |
2008-10-03 |
W |
% |
NA |
2008-10-06 |
|
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DGS7
|
7-Year Treasury Constant Maturity Rate |
1969-07-01 |
2008-10-02 |
D |
% |
NA |
2008-10-06 |
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TOTBKCR
|
Bank Credit of All Commercial Banks |
1973-01-03 |
2008-09-24 |
W |
Bil. of $ |
SA |
2008-10-06 |
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DTB6
|
6-Month Treasury Bill: Secondary Market Rate |
1958-12-09 |
2008-10-02 |
D |
% |
NA |
2008-10-06 |
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DTP10J16
|
10-Year 2% Treasury Inflation-Indexed Note, Due 1/15/2016 |
2006-01-13 |
2008-10-03 |
D |
% |
NA |
2008-10-06 |
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WTP5A10
|
5-Year Treasury Inflation-Indexed Note, Due 4/15/2010 |
2004-10-29 |
2008-10-03 |
W |
% |
NA |
2008-10-06 |
|
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DTP10J12
|
10-Year 3-3/8% Treasury Inflation-Indexed Note, Due 1/15/2012 |
2002-01-10 |
2008-10-03 |
D |
% |
NA |
2008-10-06 |
|
|
DTB3
|
3-Month Treasury Bill: Secondary Market Rate |
1954-01-04 |
2008-10-02 |
D |
% |
NA |
2008-10-06 |
|
|
DTP10J17
|
10-Year 2-3/8% Treasury Inflation-Indexed Note, Due 1/15/2017 |
2007-01-16 |
2008-10-03 |
D |
% |
NA |
2008-10-06 |
|
|
DTP10L13
|
10-Year 1-7/8% Treasury Inflation-Indexed Note, Due 7/15/2013 |
2003-07-17 |
2008-10-03 |
D |
% |
NA |
2008-10-06 |
|
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WTP10J17
|
10-Year 2-3/8% Treasury Inflation-Indexed Note, Due 1/15/2017 |
2007-01-19 |
2008-10-03 |
W |
% |
NA |
2008-10-06 |
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DPRIME
|
Bank Prime Loan Rate |
1955-08-04 |
2008-10-02 |
D |
% |
NA |
2008-10-06 |
|
|
DTP10J10
|
10-Year 4-1/4% Inflation-Indexed Note, Due 1/15/2010 |
2000-01-18 |
2008-10-03 |
D |
% |
NA |
2008-10-06 |
|
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WTP10L15
|
10-Year 1-7/8% Treasury Inflation-Indexed Note, Due 7/15/2015 |
2005-07-29 |
2008-10-03 |
W |
% |
NA |
2008-10-06 |
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DFEDTAR
|
Federal Funds Target Rate |
1982-09-27 |
2008-10-05 |
D |
% |
NA |
2008-10-06 |