Title
|
Series ID
|
Vintage Date
|
Units
|
Freq
|
Seas Adj
|
Updated
|
10-Year 0.375 Treasury Inflation-Indexed Note, Due 1/15/2027
|
DTP10J27
|
2019-04-11
|
Percent Change
|
D
|
NSA
|
2019-04-11
|
10-Year 0.5% Treasury Inflation-Indexed Note, Due 1/15/2028
|
DTP10J28
|
2019-04-11
|
Percent Change
|
D
|
NSA
|
2019-04-11
|
10-Year 0.875% Treasury Inflation-Indexed Note, Due 1/15/2029
|
DTP10J29
|
2019-04-11
|
Percent Change
|
D
|
NSA
|
2019-04-11
|
10-Year 1-7/8% Treasury Inflation-Indexed Note, Due 7/15/2019
|
DTP10L19
|
2019-04-11
|
Percent Change
|
D
|
NSA
|
2019-04-11
|
10-Year 1-1/4% Treasury Inflation-Indexed Note, Due 7/15/2020
|
DTP10L20
|
2019-04-11
|
Percent Change
|
D
|
NSA
|
2019-04-11
|
10-Year 0-5/8% Treasury Inflation-Indexed Note, Due 7/15/2021
|
DTP10L21
|
2019-04-11
|
Percent Change
|
D
|
NSA
|
2019-04-11
|
10-Year 0-1/8% Treasury Inflation-Indexed Note, Due 7/15/2022
|
DTP10L22
|
2019-04-11
|
Percent Change
|
D
|
NSA
|
2019-04-11
|
10-Year 0-3/8% Treasury Inflation-Indexed Note, Due 7/15/2023
|
DTP10L23
|
2019-04-11
|
Percent Change
|
D
|
NSA
|
2019-04-11
|
10-Year 0-1/8% Treasury Inflation-Indexed Note, Due 7/15/2024
|
DTP10L24
|
2019-04-11
|
Percent Change
|
D
|
NSA
|
2019-04-11
|
10-Year 0.375% Treasury Inflation-Indexed Note, Due 07/15/2025
|
DTP10L25
|
2019-04-11
|
Percent Change
|
D
|
NSA
|
2019-04-11
|
10-Year 0-1/8% Treasury Inflation-Indexed Note, Due 7/15/2026
|
DTP10L26
|
2019-04-11
|
Percent Change
|
D
|
NSA
|
2019-04-11
|
10-Year 0.375% Treasury Inflation-Indexed Note, Due 7/15/2027
|
DTP10L27
|
2019-04-11
|
Percent Change
|
D
|
NSA
|
2019-04-11
|
10-Year 0.75% Treasury Inflation-Indexed Note, Due 7/15/2028
|
DTP10L28
|
2019-04-11
|
Percent Change
|
D
|
NSA
|
2019-04-11
|
20-Year 2-3/8% Treasury Inflation-Indexed Bond, Due 1/15/2025
|
DTP20J25
|
2019-04-11
|
Percent Change
|
D
|
NSA
|
2019-04-11
|
20-Year 2% Treasury Inflation-Indexed Bond, Due 1/15/2026
|
DTP20J26
|
2019-04-11
|
Percent Change
|
D
|
NSA
|
2019-04-11
|
20-Year 2-3/8% Treasury Inflation-Indexed Bond, Due 1/15/2027
|
DTP20J27
|
2019-04-11
|
Percent Change
|
D
|
NSA
|
2019-04-11
|
20-Year 1-3/4% Treasury Inflation-Indexed Bond, Due 1/15/2028
|
DTP20J28
|
2019-04-11
|
Percent Change
|
D
|
NSA
|
2019-04-11
|
20-Year 2-1/2% Treasury Inflation-Indexed Bond, Due 1/15/2029
|
DTP20J29
|
2019-04-11
|
Percent Change
|
D
|
NSA
|
2019-04-11
|
30-Year 3-5/8% Treasury Inflation-Indexed Bond, Due 4/15/2028
|
DTP30A28
|
2019-04-11
|
Percent Change
|
D
|
NSA
|
2019-04-11
|
30-Year 3-7/8% Treasury Inflation-Indexed Bond, Due 4/15/2029
|
DTP30A29
|
2019-04-11
|
Percent Change
|
D
|
NSA
|
2019-04-11
|
30-Year 2-1/8% Treasury Inflation-Indexed Bond, Due 2/15/2040
|
DTP30F40
|
2019-04-11
|
Percent Change
|
D
|
NSA
|
2019-04-11
|
30-Year 2-1/8% Treasury Inflation-Indexed Bond, Due 2/15/2041
|
DTP30F41
|
2019-04-11
|
Percent Change
|
D
|
NSA
|
2019-04-11
|
30-Year 0-3/4% Treasury Inflation-Indexed Bond, Due 2/15/2042
|
DTP30F42
|
2019-04-11
|
Percent Change
|
D
|
NSA
|
2019-04-11
|
30-Year 0-5/8% Treasury Inflation-Indexed Bond, Due 2/15/2043
|
DTP30F43
|
2019-04-11
|
Percent Change
|
D
|
NSA
|
2019-04-11
|
30-Year 1-3/8% Treasury Inflation-Indexed Note, Due 2/15/2044
|
DTP30F44
|
2019-04-11
|
Percent Change
|
D
|
NSA
|
2019-04-11
|
30-Year 0-3/4% Treasury Inflation-Indexed Bond, Due 2/15/2045
|
DTP30F45
|
2019-04-11
|
Percent Change
|
D
|
NSA
|
2019-04-11
|
30-Year 1.0% Treasury Inflation-Indexed Bond, Due 2/15/2046
|
DTP30F46
|
2019-04-11
|
Percent Change
|
D
|
NSA
|
2019-04-11
|
30-Year 0.875% Treasury Inflation-Indexed Bond, Due 2/15/2047
|
DTP30F47
|
2019-04-11
|
Percent Change
|
D
|
NSA
|
2019-04-11
|
30-Year 1.0% Treasury Inflation-Indexed Bond, Due 2/15/2048
|
DTP30F48
|
2019-04-11
|
Percent Change
|
D
|
NSA
|
2019-04-11
|
30-1/2-Year 3-3/8% Treasury Inflation-Indexed Bond, Due 4/15/2032
|
DTP3HA32
|
2019-04-11
|
Percent Change
|
D
|
NSA
|
2019-04-11
|
5-Year 0-1/8% Treasury Inflation-Indexed Note, Due 4/15/2019
|
DTP5A19
|
2019-04-11
|
Percent Change
|
D
|
NSA
|
2019-04-11
|
5-Year 0-1/8% Treasury Inflation-Indexed Note, Due 4/15/2020
|
DTP5A20
|
2019-04-11
|
Percent Change
|
D
|
NSA
|
2019-04-11
|
5-Year Treasury Inflation-Indexed Note, Due 4/15/2021
|
DTP5A21
|
2019-04-11
|
Percent Change
|
D
|
NSA
|
2019-04-11
|
5-Year 0-1/8% Treasury Inflation-Indexed Note, Due 4/15/2022
|
DTP5A22
|
2019-04-11
|
Percent Change
|
D
|
NSA
|
2019-04-11
|
5-Year 0.625% Treasury Inflation-Indexed Note, Due 4/15/2023
|
DTP5A23
|
2019-04-11
|
Percent Change
|
D
|
NSA
|
2019-04-11
|
Effective Federal Funds Rate
|
EFFR
|
2019-04-11
|
Percent Change
|
D
|
NSA
|
2019-08-16
|
Effective Federal Funds Rate: 1st Percentile
|
EFFR1
|
2019-04-11
|
Percent Change
|
D
|
NSA
|
2019-04-11
|
Effective Federal Funds Rate: 25th Percentile
|
EFFR25
|
2019-04-11
|
Percent Change
|
D
|
NSA
|
2019-04-11
|
Effective Federal Funds Rate: 75th Percentile
|
EFFR75
|
2019-04-11
|
Percent Change
|
D
|
NSA
|
2019-04-11
|
Effective Federal Funds Rate: 99th Percentile
|
EFFR99
|
2019-04-11
|
Percent Change
|
D
|
NSA
|
2019-04-11
|
Effective Federal Funds Volume
|
EFFRVOL
|
2019-04-11
|
Percent Change
|
D
|
NSA
|
2019-04-11
|
Total Value of Issues, with a Maturity Between 10 and 20 Days, Used in Calculating the AA Financial Commercial Paper Rates
|
FIN1020AAAMT
|
2019-04-11
|
Percent Change
|
D
|
NSA
|
2019-04-11
|
Number of Issues, with a Maturity Between 10 and 20 Days, Used in Calculating the AA Financial Commercial Paper Rates
|
FIN1020AAVOL
|
2019-04-11
|
Percent Change
|
D
|
NSA
|
2019-04-11
|
Total Value of Issues, with a Maturity Between 1 and 4 Days, Used in Calculating the AA Financial Commercial Paper Rates
|
FIN14AAAMT
|
2019-04-11
|
Percent Change
|
D
|
NSA
|
2019-04-11
|
Number of Issues, with a Maturity Between 1 and 4 Days, Used in Calculating the AA Financial Commercial Paper Rates
|
FIN14AAVOL
|
2019-04-11
|
Percent Change
|
D
|
NSA
|
2019-04-11
|
Total Value of Issues, with a Maturity Between 21 and 40 Days, Used in Calculating the AA Financial Commercial Paper Rates
|
FIN2140AAAMT
|
2019-04-11
|
Percent Change
|
D
|
NSA
|
2019-04-11
|
Number of Issues, with a Maturity Between 21 and 40 Days, Used in Calculating the AA Financial Commercial Paper Rates
|
FIN2140AAVOL
|
2019-04-11
|
Percent Change
|
D
|
NSA
|
2019-04-11
|
Total Value of Issues, with a Maturity Between 41 and 80 Days, Used in Calculating the AA Financial Commercial Paper Rates
|
FIN4180AAAMT
|
2019-04-11
|
Percent Change
|
D
|
NSA
|
2019-04-11
|
Number of Issues, with a Maturity Between 41 and 80 Days, Used in Calculating the AA Financial Commercial Paper Rates
|
FIN4180AAVOL
|
2019-04-11
|
Percent Change
|
D
|
NSA
|
2019-04-11
|
Total Value of Issues, with a Maturity Between 5 and 9 Days, Used in Calculating the AA Financial Commercial Paper Rates
|
FIN59AAAMT
|
2019-04-11
|
Percent Change
|
D
|
NSA
|
2019-04-11
|