Interest rates give information on the cost of money in the economy. As such, they are invaluable in helping to provide an overall indication of the economy. Different rates are distinguished by the period of lending or borrowing as well as the parties involved.

Last Updated: Mar 13 2026, 14:39 EDT Next Release: --

Major Bank of America Merrill Lynch Indicators

Indicator Period Value % CHG PREV
US Corporate A Effective Yield Mar 12 2026 4.93% 1.86%
US Corporate AA Effective Yield Mar 12 2026 4.81% 1.69%
US Corporate AAA Effective Yield Mar 12 2026 4.92% 1.03%
US Corporate BBB Bond Risk Premium Mar 12 2026 1.01 3.06%
US Corporate BBB Effective Yield Mar 12 2026 5.28% 1.73%
US High Yield B Effective Yield Mar 12 2026 7.34% 2.37%
US High Yield BB Effective Yield Mar 12 2026 5.88% 2.62%
US High Yield CCC Effective Yield Mar 12 2026 13.44% 1.90%
Last Updated: Mar 13 2026, 08:35 EDT Next Release: --

Key rates from the Bank of Canada, provided daily.

Major Bank of Canada Interest Rates Indicators

Indicator Period Value % CHG PREV
Canada 1 Month Treasury Bill Yield Mar 11 2026 2.17% -1.36%
Canada 1 Year Treasury Bill Yield Mar 11 2026 2.44% 0.83%
Canada 10 Year Benchmark Bond Yield Mar 11 2026 3.48% 2.65%
Canada 3 Month Treasury Bill Yield Mar 11 2026 2.21% 0.00%
Canada 3 Year Benchmark Bond Yield Mar 11 2026 2.79% 2.95%
Canada 5 Year Benchmark Bond Yield Mar 11 2026 3.03% 2.71%
Canada 6 Month Treasury Bill Yield Mar 11 2026 2.29% 0.44%
Canada 7 Year Benchmark Bond Yield Mar 11 2026 3.25% 2.52%
Canada Bank Rate Mar 11 2026 2.50% 0.00%
Canada Long Term Benchmark Bond Yield Mar 11 2026 3.93% 2.08%
Canada Target Overnight Rate Mar 11 2026 2.25% 0.00%
Last Updated: Dec 18 2025, 07:02 EST Next Release: Mar 19 2026, 08:00 EDT

Bank Rate determines the interest rate the Bank of England pays to commercial banks that hold money with the Bank of England. It influences the rates those banks charge people to borrow money or pay on their savings.

Major Bank of England Bank Rate Indicators

Indicator Period Value % CHG PREV
Bank of England Bank Rate Dec 18 2025 3.75% -6.25%
Last Updated: Mar 11 2026, 19:51 EDT Next Release: Mar 15 2026, 19:50 EDT

Major Bank of Japan Basic Discount Rate Indicators

Indicator Period Value % CHG PREV
Bank of Japan Basic Discount Rate Mar 11 2026 1.00% 0.00%
Bank of Japan Basic Discount Rate Jan 2026 1.00% 0.00%
Last Updated: Jan 23 2026, 10:29 EST Next Release: Mar 19 2026, 04:00 EDT

The Policy Board, the highest decision-making body of the Bank of Japan, regularly holds Monetary Policy Meetings (MPMs) to discuss and decide matters concerning the conduct of monetary policy. MPM decisions, regardless of whether or not a policy change takes place, are announced immediately after each MPM.

Major Bank of Japan Monetary Policy Meeting Indicators

Indicator Period Value % CHG PREV
Uncollateralized Overnight Call Rate Dec 23 2025 0.75% 0.00%
Last Updated: Mar 13 2026, 10:00 EDT Next Release: Mar 16 2026, 10:00 EDT

Canadian Overnight Repo Rate Average (CORRA) measures the cost of overnight general collateral funding in Canadian dollars using Government of Canada treasury bills and bonds as collateral for repurchase transactions.

Major Canadian Overnight Repo Rate Average Indicators

Indicator Period Value % CHG PREV
Canadian Overnight Repo Rate Average Mar 12 2026 2.26% 0.00%
Last Updated: Mar 13 2026, 16:02 EDT Next Release: Mar 16 2026, 15:30 EDT

Treasury Par Real Yield Curve Rates are commonly referred to as "Real Constant Maturity Treasury" rates, or R-CMTs. Par real yields on Treasury Inflation Protected Securities (TIPS) at "constant maturity" are interpolated by the U.S. Treasury from Treasury's daily par real yield curve. These par real yields are calculated from indicative secondary market quotations obtained by the Federal Reserve Bank of New York. The par real yield values are read from the par real yield curve at fixed maturities, currently 5, 7, 10, 20, and 30 years. This method provides a par real yield for a 10-year maturity, for example, even if no outstanding security has exactly 10 years remaining to maturity.

Major Daily Treasury Par Real Yield Curve Rates Indicators

Indicator Period Value % CHG PREV
10 Year Real Treasury Rate Mar 13 2026 1.92% 1.59%
20 Year Real Treasury Rate Mar 13 2026 2.41% 1.26%
30 Year Real Treasury Rate Mar 13 2026 2.66% 1.14%
5 Year Real Treasury Rate Mar 13 2026 1.26% 0.80%
7 Year Real Treasury Rate Mar 13 2026 1.61% 1.90%
Last Updated: Mar 13 2026, 18:02 EDT Next Release: Mar 16 2026, 18:00 EDT

Daily Treasury Yield Curve Rates are commonly referred to as "Constant Maturity Treasury" rates, or CMTs. Yields are interpolated by the Treasury from the daily yield curve. This curve, which relates the yield on a security to its time to maturity is based on the closing market bid yields on actively traded Treasury securities in the over-the-counter market. These market yields are calculated from composites of indicative, bid-side market quotations (not actual transactions) obtained by the Federal Reserve Bank of New York.

Major Daily Treasury Yield Curve Rates Indicators

Indicator Period Value % CHG PREV
1 Month Treasury Rate Mar 13 2026 3.75% -0.27%
1 Year Treasury Rate Mar 13 2026 3.66% 0.00%
10 Year Treasury Rate Mar 13 2026 4.28% 0.23%
10 Year-3 Month Treasury Yield Spread Mar 13 2026 0.56% 1.82%
10-2 Year Treasury Yield Spread Mar 13 2026 0.55% 7.84%
2 Year Treasury Rate Mar 13 2026 3.73% -0.80%
20 Year Treasury Rate Mar 13 2026 4.89% 0.62%
3 Month Treasury Rate Mar 13 2026 3.72% 0.00%
3 Year Treasury Rate Mar 13 2026 3.74% -0.27%
30 Year Treasury Rate Mar 13 2026 4.90% 0.41%
30-10 Year Treasury Yield Spread Mar 13 2026 0.62% 1.64%
5 Year Treasury Rate Mar 13 2026 3.87% -0.26%
6 Month Treasury Rate Mar 13 2026 3.70% 0.00%
7 Year Treasury Rate Mar 13 2026 4.07% 0.25%
Last Updated: Mar 11 2026, 10:00 EDT Next Release: Apr 14 2026, 10:00 EDT

The Long Term Interest Rates report from the ECB are the interest rates for long term government bonds denominated in national currencies. This includes harmonised long-term interest rates for assessing convergence among EU member states as well as an MFI interest rate indicator for Estonia since no suitable government bonds are available to provide a harmonised long term interest rate.

Major ECB Long Term Interest Rates Indicators

Indicator Period Value % CHG PREV
Austria Long Term Interest Rate Feb 2026 3.07% -0.35%
Belgium Long Term Interest Rate Feb 2026 3.30% -1.79%
Bulgaria Long Term Interest Rate Dec 2025 3.93% 0.00%
Cyprus Long Term Interest Rate Feb 2026 3.17% 7.09%
Czech Republic Long Term Interest Rate Feb 2026 4.37% -2.02%
Denmark Long Term Interest Rate Feb 2026 2.63% -3.56%
Finland Long Term Interest Rate Feb 2026 3.16% -2.80%
France Long Term Interest Rate Feb 2026 3.40% -3.68%
Germany Long Term Interest Rate Feb 2026 2.74% -2.24%
Greece Long Term Interest Rate Feb 2026 3.39% -1.17%
Hungary Long Term Interest Rate Feb 2026 6.48% -2.80%
Ireland Long Term Interest Rate Feb 2026 3.03% -0.89%
Italy Long Term Interest Rate Feb 2026 3.39% -2.98%
Latvia Long Term Interest Rate Feb 2026 3.53% -3.55%
Lithuania Long Term Interest Rate Feb 2026 2.88% 0.00%
Luxembourg Long Term Interest Rate Feb 2026 2.93% -4.03%
Malta Long Term Interest Rate Feb 2026 3.57% -2.72%
Netherlands Long Term Interest Rate Feb 2026 2.85% -3.10%
Poland Long Term Interest Rate Feb 2026 4.99% -2.16%
Portugal Long Term Interest Rate Feb 2026 3.13% -1.82%
Romania Long Term Interest Rate Feb 2026 5.99% -9.10%
Slovakia Long Term Interest Rate Feb 2026 3.27% -4.02%
Slovenia Long Term Interest Rate Feb 2026 3.09% -3.13%
Spain Long Term Interest Rate Feb 2026 3.17% -2.88%
Sweden Long Term Interest Rate Feb 2026 2.64% -5.71%
Last Updated: Mar 13 2026, 08:03 EDT Next Release: Mar 16 2026, 08:00 EDT

The Effective Federal Funds Rate Data is calculated using data on overnight federal funds transactions provided by domestic banks and U.S. branches and agencies of foreign banks, as reported in the FR 2420 Report of Selected Money Market Rates.

Major Effective Federal Funds Rate Data Indicators

Indicator Period Value % CHG PREV
Effective Federal Funds Rate Mar 11 2026 3.64% 0.00%
Last Updated: Feb 5 2026, 08:18 EST Next Release: Mar 18 2026, 08:45 EDT

The Governing Council of the European Central Bank sets the key interest rates for the euro area. The interest rate on the main refinancing operations, which provide the bulk of liquidity to the banking system. The rate on the deposit facility, which banks may use to make overnight deposits with the Eurosystem. The rate on the marginal lending facility, which offers overnight credit to banks from the Eurosystem.

Major Euro Area Official Interest Rates Indicators

Indicator Period Value % CHG PREV
ECB Deposit Facility Interest Rate Feb 05 2026 2.00% 0.00%
ECB Main Refinancing Operations Interest Rate Feb 05 2026 2.15% 0.00%
ECB Marginal Lending Facility Interest Rate Feb 05 2026 2.40% 0.00%
Last Updated: Mar 13 2026, 03:03 EDT Next Release: Mar 16 2026, 03:00 EDT

The Euro Short-Term Rate (€STR) reflects the wholesale Euro unsecured overnight borrowing costs of banks located in the Euro area. The €STR is published on each TARGET2 business day based on transactions conducted and settled on the previous TARGET2 business day (the reporting date “T”) with a maturity date of T+1 which are deemed to have been executed at arm’s length and thus reflect market rates in an unbiased way.

Major Euro Short-Term Rate Indicators

Indicator Period Value % CHG PREV
Euro Short-Term Rate Mar 11 2026 1.93% -0.10%
Last Updated: Mar 14 2026, 06:08 EDT Next Release: Mar 16 2026, 18:00 EDT

A yield curve represents the relationship between market renumeration rates and the remaining time to maturity of debt securities. The ECB estimates zero-coupon yield curves and derives forward and par yield curves from that data. The Euro Yield Curves report contains data based on AAA-rated Eurozone central government bonds as well as data based on all bonds.

Major Euro Yield Curves Indicators

Indicator Period Value % CHG PREV
1-Year Eurozone Central Government Bond Par Yield Curve Mar 12 2026 2.33% 1.51%
10-Year Eurozone Central Government Bond Par Yield Curve Mar 12 2026 3.35% 1.66%
15-Year Eurozone Central Government Bond Par Yield Curve Mar 12 2026 3.67% 1.37%
2-Year Eurozone Central Government Bond Par Yield Curve Mar 12 2026 2.46% 2.51%
20-Year Eurozone Central Government Bond Par Yield Curve Mar 12 2026 3.83% 1.17%
25-Year Eurozone Central Government Bond Par Yield Curve Mar 12 2026 3.89% 1.01%
3-Year Eurozone Central Government Bond Par Yield Curve Mar 12 2026 2.57% 2.63%
30-Year Eurozone Central Government Bond Par Yield Curve Mar 12 2026 3.89% 0.89%
5-Year Eurozone Central Government Bond Par Yield Curve Mar 12 2026 2.81% 2.24%
AAA Rated 1-Year Eurozone Central Government Bond Par Yield Curve Mar 12 2026 2.25% 2.13%
AAA Rated 10-Year Eurozone Central Government Bond Par Yield Curve Mar 12 2026 2.96% 0.79%
AAA Rated 15-Year Eurozone Central Government Bond Par Yield Curve Mar 12 2026 3.21% 0.70%
AAA Rated 2-Year Eurozone Central Government Bond Par Yield Curve Mar 12 2026 2.35% 1.64%
AAA Rated 20-Year Eurozone Central Government Bond Par Yield Curve Mar 12 2026 3.34% 0.57%
AAA Rated 25-Year Eurozone Central Government Bond Par Yield Curve Mar 12 2026 3.39% 0.45%
AAA Rated 3-Year Eurozone Central Government Bond Par Yield Curve Mar 12 2026 2.41% 1.12%
AAA Rated 30-Year Eurozone Central Government Bond Par Yield Curve Mar 12 2026 3.38% 0.34%
AAA Rated 5-Year Eurozone Central Government Bond Par Yield Curve Mar 12 2026 2.55% 0.80%
Last Updated: Mar 13 2026, 05:03 EDT Next Release: Mar 16 2026, 05:00 EDT

The European Long Term Interest Rates report contains data on the current interest rate on 10 year government bond yields. It also contains data on the Maastricht criterion rates which are used as a convergence criterion for the European Monetary Union.

Major European Long Term Interest Rates Indicators

Indicator Period Value % CHG PREV
Austria Maastricht Criterion Interest Rate Feb 2026 3.07% -0.35%
Belgium Maastricht Criterion Interest Rate Feb 2026 3.30% -1.79%
Bulgaria Maastricht Criterion Interest Rate Feb 2026 3.93% 0.00%
Cyprus Maastricht Criterion Interest Rate Feb 2026 3.17% 7.09%
Czech Republic Maastricht Criterion Interest Rate Feb 2026 4.37% -2.02%
Denmark Maastricht Criterion Interest Rate Feb 2026 2.63% -3.56%
European Union Maastricht Criterion Interest Rate Feb 2026 3.40% -2.96%
Eurozone Maastricht Criterion Interest Rate Feb 2026 3.12% -2.58%
Finland Maastricht Criterion Interest Rate Feb 2026 3.16% -2.80%
France Maastricht Criterion Interest Rate Feb 2026 3.40% -3.68%
Germany Maastricht Criterion Interest Rate Feb 2026 2.74% -2.24%
Greece Maastricht Criterion Interest Rate Feb 2026 3.39% -1.17%
Hungary Maastricht Criterion Interest Rate Feb 2026 6.48% -2.80%
Ireland Maastricht Criterion Interest Rate Feb 2026 3.03% -0.89%
Italy Maastricht Criterion Interest Rate Feb 2026 3.39% -2.98%
Latvia Maastricht Criterion Interest Rate Feb 2026 3.53% -3.55%
Lithuania Maastricht Criterion Interest Rate Feb 2026 2.88% 0.00%
Malta Maastricht Criterion Interest Rate Feb 2026 3.57% -2.72%
Netherlands Maastricht Criterion Interest Rate Feb 2026 2.85% -3.10%
Poland Maastricht Criterion Interest Rate Feb 2026 4.99% -2.16%
Portugal Maastricht Criterion Interest Rate Feb 2026 3.13% -1.82%
Slovakia Maastricht Criterion Interest Rate Feb 2026 3.27% -4.02%
Slovenia Maastricht Criterion Interest Rate Feb 2026 3.09% -3.13%
Spain Maastricht Criterion Interest Rate Feb 2026 3.17% -2.88%
Sweden Maastricht Criterion Interest Rate Feb 2026 2.64% -5.71%
Turkey 10-Year Government Bond Interest Rate Feb 2026 30.24% 2.68%
Last Updated: Mar 4 2026, 10:02 EST Next Release: Apr 1 2026, 10:00 EDT

The European Short Term Interest Rates report contains data on the interest rates of short term governent bonds including overnight, 1-, 3-, 6-, and 12-month bonds.

Major European Short Term Interest Rates Indicators

Indicator Period Value % CHG PREV
Bulgaria 1-Month Interest Rate Jun 2018 -0.14% --
Bulgaria 12-Month Interest Rate Jun 2018 0.49% -5.77%
Bulgaria 3-Month Interest Rate Jun 2018 -0.05% --
Bulgaria 6-Month Interest Rate Jun 2018 0.08% -33.33%
Bulgaria Day-to-Day Interest Rate Dec 2025 1.82% 0.55%
Czech Republic 1-Month Interest Rate Jan 2026 3.53% 0.00%
Czech Republic 12-Month Interest Rate Jan 2026 3.47% -3.61%
Czech Republic 3-Month Interest Rate Jan 2026 3.50% -1.13%
Czech Republic 6-Month Interest Rate Jan 2026 3.50% -1.96%
Czech Republic Day-to-Day Interest Rate Jan 2026 3.50% 0.00%
Denmark 1-Month Interest Rate Dec 2025 1.92% 0.09%
Denmark 12-Month Interest Rate Dec 2025 2.48% 1.97%
Denmark 3-Month Interest Rate Dec 2025 2.00% 0.26%
Denmark 6-Month Interest Rate Dec 2025 2.22% 0.97%
Denmark Day-to-Day Interest Rate Dec 2025 1.73% -0.03%
Eurozone 1-Month Interest Rate Dec 2025 1.91% 0.42%
Eurozone 12-Month Interest Rate Dec 2025 2.27% 2.26%
Eurozone 3-Month Interest Rate Dec 2025 2.05% 0.20%
Eurozone 6-Month Interest Rate Dec 2025 2.14% 0.36%
Eurozone Day-to-Day Interest Rate Dec 2021 -0.49% --
Hungary 1-Month Interest Rate Jan 2026 6.50% 0.00%
Hungary 12-Month Interest Rate Jan 2026 6.67% 2.14%
Hungary 3-Month Interest Rate Jan 2026 6.44% -5.01%
Hungary 6-Month Interest Rate Jan 2026 6.69% 4.69%
Hungary Day-to-Day Interest Rate Jan 2026 6.45% -0.46%
Poland 1-Month Interest Rate Jan 2026 4.04% -2.42%
Poland 12-Month Interest Rate Jan 2026 3.76% -3.34%
Poland 3-Month Interest Rate Jan 2026 3.93% -3.20%
Poland 6-Month Interest Rate Jan 2026 3.83% -2.54%
Poland Day-to-Day Interest Rate Jan 2026 3.96% 0.51%
Romania 1-Month Interest Rate Jan 2026 5.55% -0.89%
Romania 12-Month Interest Rate Jan 2026 6.10% -4.09%
Romania 3-Month Interest Rate Jan 2026 5.83% -3.48%
Romania 6-Month Interest Rate Jan 2026 5.93% -3.73%
Romania Day-to-Day Interest Rate Jan 2026 5.51% -0.90%
Sweden 1-Month Interest Rate Dec 2025 1.78% -6.89%
Sweden 12-Month Interest Rate Mar 2013 1.59% 2.58%
Sweden 3-Month Interest Rate Dec 2025 1.89% -2.17%
Sweden 6-Month Interest Rate Dec 2025 2.05% -3.10%
Sweden Day-to-Day Interest Rate Dec 2025 1.75% 0.09%
United Kingdom 1-Month Interest Rate Mar 2023 4.12% 3.95%
United Kingdom 12-Month Interest Rate Dec 2021 0.71% 5.22%
United Kingdom 3-Month Interest Rate Mar 2024 5.32% -0.14%
United Kingdom 6-Month Interest Rate Mar 2023 4.64% 2.04%
United Kingdom Day-to-Day Interest Rate Dec 2021 0.10% 153.4%
Last Updated: Jan 29 2026, 07:57 EST Next Release: Mar 18 2026, 14:00 EDT

The FOMC holds eight regularly scheduled meetings per year. At these meetings, the Committee reviews economic and financial conditions, determines the appropriate stance of monetary policy, and assesses the risks to its long-run goals of price stability and sustainable economic growth. In conjunction with the Federal Open Market Committee (FOMC) meeting, meeting participants submit their projections of the most likely outcomes for real gross domestic product (GDP) growth, the unemployment rate, and inflation. Each participant’s projections are based on information available at the time of the meeting, together with her or his assessment of appropriate monetary policy—including a path for the federal funds rate and its longer-run value—and assumptions about other factors likely to affect economic outcomes.

Major Federal Open Market Committee Meeting Indicators

Last Updated: Mar 13 2026, 16:18 EDT Next Release: Mar 13 2026, 16:15 EDT

The H.15 release contains daily interest rates for selected U.S. government and Federal Reserve series.

Major H.15 Selected Interest Rates Indicators

Indicator Period Value % CHG PREV
1 Month AA Financial Commercial Paper Rate Mar 11 2026 3.65% 0.83%
1 Month AA Nonfinancial Commercial Paper Rate Mar 12 2026 3.69% -0.81%
1 Month Treasury Rate Mar 12 2026 3.76% 0.27%
1 Year Treasury Rate Mar 12 2026 3.66% 1.67%
10 Year Treasury Inflation-Indexed Security Rate Mar 12 2026 1.89% 2.16%
10 Year Treasury Rate Mar 12 2026 4.27% 1.43%
2 Month AA Financial Commercial Paper Rate Mar 11 2026 3.66% 0.00%
2 Month AA Nonfinancial Commercial Paper Rate Mar 12 2026 3.71% -1.07%
2 Year Treasury Rate Mar 12 2026 3.76% 3.30%
20 Year Treasury Inflation-Indexed Security Rate Mar 12 2026 2.38% 1.28%
20 Year Treasury Rate Mar 12 2026 4.86% 0.83%
3 Month AA Financial Commercial Paper Rate Mar 11 2026 3.68% 0.00%
3 Month AA Nonfinancial Commercial Paper Rate Mar 12 2026 3.69% 0.27%
3 Month Treasury Bill Rate Mar 12 2026 3.61% 0.00%
3 Month Treasury Rate Mar 12 2026 3.72% 0.27%
30 Year Treasury Inflation-Indexed Security Rate Mar 12 2026 2.63% 0.77%
30 Year Treasury Rate Mar 12 2026 4.88% 0.41%
4 Week Treasury Bill Rate Mar 12 2026 3.65% 0.27%
5 Year Treasury Inflation-Indexed Security Rate Mar 12 2026 1.25% 3.31%
5 Year Treasury Rate Mar 12 2026 3.88% 2.37%
6 Month Treasury Bill Rate Mar 12 2026 3.56% 0.56%
6 Month Treasury Rate Mar 12 2026 3.70% 0.54%
7 Year Treasury Inflation-Indexed Security Rate Mar 12 2026 1.58% 3.27%
7 Year Treasury Rate Mar 12 2026 4.06% 2.01%
Bank Prime Loan Rate Mar 12 2026 6.75% 0.00%
Discount Window Primary Credit Rate Mar 12 2026 3.75% 0.00%
Last Updated: Mar 13 2026, 17:21 EDT Next Release: --

Major Interest Rate Spreads Indicators

Indicator Period Value % CHG PREV
20-Year Breakeven Inflation Rate Feb 2026 2.41% -0.82%
3-Month Commercial Paper Minus Federal Funds Rate Mar 11 2026 0.04% 0.00%
30-Year Breakeven Inflation Rate Feb 2026 2.24% -0.44%
5-Year, 5-Year Forward Inflation Expectation Rate Mar 13 2026 2.11% -0.94%
7-Year Breakeven Inflation Rate Feb 2026 2.36% 0.85%
Last Updated: Mar 12 2026, 20:33 EDT Next Release: Mar 15 2026, 19:30 EDT

This report from the Japan Ministry of Finance contains key interest rates for government bonds with maturities ranging from 1 to 40 years.

Major Japan Government Bonds Interest Rates Indicators

Indicator Period Value % CHG PREV
Japan 1 Year Government Bond Interest Rate Mar 12 2026 0.99% 0.10%
Japan 10 Year Government Bond Interest Rate Mar 12 2026 2.20% 1.06%
Japan 2 Year Government Bond Interest Rate Mar 12 2026 1.26% 0.80%
Japan 30 Year Government Bond Interest Rate Mar 12 2026 3.45% 0.88%
Japan 5 Year Government Bond Interest Rate Mar 12 2026 1.65% 0.80%
Last Updated: Feb 24 2026, 10:52 EST Next Release: Mar 19 2026, 21:30 EDT

The Loan Market Quote Rate (LPR) plays an important benchmark role in the corresponding financial market, providing a basis for observing market operation and guiding financial product pricing.

Major Loan Market Quoted Rate Indicators

Indicator Period Value % CHG PREV
China Above 5-Year Loan Prime Rate Feb 2026 3.50% 0.00%
China Loan Prime Rate Feb 2026 3.00% 0.00%
Last Updated: Feb 17 2026, 14:05 EST Next Release: Mar 16 2026, 11:00 EDT

Major National Rates and Rate Caps Indicators

Indicator Period Value % CHG PREV
US 1-Month CD Rate Feb 2026 0.22% -4.35%
US 1-Year CD Rate Feb 2026 1.55% -3.73%
US 2-Year CD Rate Feb 2026 1.40% -0.71%
US 3-Month CD Rate Feb 2026 1.35% 0.00%
US 3-Year CD Rate Feb 2026 1.32% -0.75%
US 4-Year CD Rate Feb 2026 1.25% 0.00%
US 5-Year CD Rate Feb 2026 1.34% -0.22%
US 6-Month CD Rate Feb 2026 1.48% -5.73%
US Interest Checking Account Rate Feb 2026 0.07% 0.00%
US Interest Checking Account Rate Cap Feb 2026 4.39% 0.00%
US Money Market Treasury Yield Feb 2026 3.64% 0.00%
US Savings Account Rate Feb 2026 0.39% 0.00%
US Savings Account Rate Cap Feb 2026 4.39% 0.00%
Last Updated: Mar 1 2026, 06:03 EST Next Release: --

Long-term interest rates refer to government bonds maturing in ten years. Rates are mainly determined by the price charged by the lender, the risk from the borrower and the fall in the capital value. Long-term interest rates are generally averages of daily rates, measured as a percentage. These interest rates are implied by the prices at which the government bonds are traded on financial markets, not the interest rates at which the loans were issued. In all cases, they refer to bonds whose capital repayment is guaranteed by governments. Long-term interest rates are one of the determinants of business investment. Low long-term interest rates encourage investment in new equipment and high interest rates discourage it. Investment is, in turn, a major source of economic growth.

Major OECD Long-Term Interest Rates Indicators

Indicator Period Value % CHG PREV
Canada Long-Term Interest Rates Jan 2026 3.40% 0.41%
China Long-Term Interest Rates Dec 2025 1.85% 0.54%
France Long-Term Interest Rates Jan 2026 3.53% -0.84%
Germany Long-Term Interest Rates Jan 2026 2.81% -0.27%
India Long-Term Interest Rates Jan 2026 6.73% 1.51%
Italy Long-Term Interest Rates Jan 2026 3.49% -1.69%
Japan Long-Term Interest Rates Jan 2026 2.24% 8.74%
Last Updated: Feb 19 2026, 11:01 EST Next Release: Apr 23 2026, 12:00 EDT

The primary objective of the Central Bank of the Philippines monetary policy is to promote a low and stable inflation conducive to a balanced and sustainable economic growth.

Major Philippines Central Bank Monetary Policy Meeting Indicators

Indicator Period Value % CHG PREV
Overnight Deposit Facility Rate Feb 2026 3.75% -6.25%
Overnight Lending Facility Rate Feb 2026 4.75% -5.00%
Target Reverse Repurchase Rate Feb 2026 4.25% -5.56%
Last Updated: Mar 12 2026, 12:03 EDT Next Release: Mar 19 2026, 12:00 EDT

Freddie Mac's Primary Mortgage Market Survey® (PMMS®) surveys lenders each week on the rates and points for their most popular 30-year fixed-rate, 15-year fixed-rate, 5/1 hybrid amortizing adjustable-rate, and 1-year amortizing adjustable-rate mortgage products. The survey is based on first-lien prime conventional conforming mortgages with a loan-to-value of 80 percent. In addition, the adjustable-rate mortgage (ARM) products are indexed to U.S. Treasury yields and lenders are asked for both the initial coupon rate and points as well as the margin on the ARM products.

Major Primary Mortgage Market Survey Indicators

Indicator Period Value % CHG PREV
15 Year Mortgage Rate Wk of Mar 12 2026 5.50% 1.29%
30 Year Mortgage Rate Wk of Mar 12 2026 6.11% 1.83%
Last Updated: Mar 13 2026, 08:02 EDT Next Release: Mar 16 2026, 08:00 EDT

The Secured Overnight Financing Rate is a broad measure of the cost of borrowing cash overnight collateralized by Treasury securities

Major Secured Overnight Financing Rate Data Indicators

Indicator Period Value % CHG PREV
Secured Overnight Financing Rate Mar 12 2026 3.65% 0.27%
Secured Overnight Financing Rate Volume Mar 12 2026 3.112T USD -1.98%
Secured Overnight Financing Rate: 1st Percentile Mar 12 2026 3.60% 0.00%
Secured Overnight Financing Rate: 25th Percentile Mar 12 2026 3.63% 0.28%
Secured Overnight Financing Rate: 75th Percentile Mar 12 2026 3.71% 0.27%
Secured Overnight Financing Rate: 99th Percentile Mar 12 2026 3.74% 0.27%
Last Updated: Mar 13 2026, 05:13 EDT Next Release: Mar 16 2026, 05:00 EDT

The Spain Interest Rates Report contains interest rates from the Bank of Spain. These rates include Treasury Bills and medium- and long-term government bonds.

Major Spain Interest Rates Indicators

Indicator Period Value % CHG PREV
Spain 10 Year Government Bond Yield Mar 12 2026 3.39% 1.83%
Spain 6-12 Month Treasury Bill Yield Mar 12 2026 2.31% 4.10%
Last Updated: Mar 12 2026, 05:36 EDT Next Release: Mar 14 2026, 05:00 EDT

SONIA (Sterling Overnight Index Average) is an important interest rate benchmark. SONIA is based on actual transactions and reflects the average of the interest rates that banks pay to borrow sterling overnight from other financial institutions and other institutional investors.

Major Sterling Overnight Index Average (SONIA) Indicators

Indicator Period Value % CHG PREV
Sterling Overnight Index Average (SONIA) Mar 11 2026 3.73% 0.00%
Last Updated: Feb 27 2026, 08:00 EST Next Release: Mar 20 2026, 08:00 EDT

Natural Rate of Interest data is used to extract trends in US economic growth.

Major US Natural Rate of Interest Indicators

Indicator Period Value % CHG PREV
US Natural Rate of Interest Q3 2025 1.56% 11.31%
US Natural Rate of Interest Output Gap Q3 2025 0.66% 32.19%
US Natural Rate of Interest Trend Growth Q3 2025 2.62% 3.19%
Last Updated: Mar 13 2026, 12:03 EDT Next Release: Mar 16 2026, 12:00 EDT

The Bank of England produces two types of estimated yield curves: A set based on yields on UK government bonds (also known as gilts), and a set based on sterling overnight index swap (OIS) rates. The set based on OIS rates are instruments that settle on overnight unsecured interest rates (the SONIA rate in the UK). Both curves are for nominal rates only.

Major Yield Curves Indicators

Indicator Period Value % CHG PREV
UK Gilt 10 Year Yield Mar 12 2026 4.82% 1.73%
UK Gilt 2 Year Yield Mar 12 2026 3.97% 1.69%
UK OIS 10 Year Yield Mar 12 2026 4.33% 1.60%
UK OIS 2 Year Yield Mar 12 2026 3.94% 2.42%

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