Title
|
Series ID
|
Vintage Date
|
Units
|
Freq
|
Seas Adj
|
Updated
|
Capacity Utilization: Manufacturing (NAICS)
|
MCUMFN
|
Current
|
%
|
M
|
SA
|
2024-11-15
|
Contract Rate on 30-Year, Fixed-Rate Conventional Home Mortgage Commitments (DISCONTINUED)
|
MORTG
|
Current
|
%
|
M
|
NSA
|
2022-06-06
|
Bank Prime Loan Rate
|
MPRIME
|
Current
|
%
|
M
|
NSA
|
2024-11-01
|
Real User Cost Index of MSI-M2 (alternative)
|
OCM2A
|
Current
|
%
|
M
|
NSA
|
2014-01-17
|
Real User Cost Index of MSI-M2 (preferred)
|
OCM2P
|
Current
|
%
|
M
|
NSA
|
2014-01-17
|
1-Year Treasury Bill Secondary Market Rate, Discount Basis
|
TB1YR
|
Current
|
%
|
M
|
NSA
|
2024-11-01
|
3-Month Treasury Bill Secondary Market Rate, Discount Basis
|
TB3MS
|
Current
|
%
|
M
|
NSA
|
2024-11-01
|
4-Week Treasury Bill Secondary Market Rate, Discount Basis
|
TB4WK
|
Current
|
%
|
M
|
NSA
|
2024-11-01
|
6-Month Treasury Bill Secondary Market Rate, Discount Basis
|
TB6MS
|
Current
|
%
|
M
|
NSA
|
2024-11-01
|
Capacity Utilization: Total Index
|
TCU
|
Current
|
%
|
M
|
SA
|
2024-11-15
|
Unemployment Rate
|
UNRATE
|
Current
|
%
|
M
|
SA
|
2024-11-01
|
Unemployment Rate
|
UNRATENSA
|
Current
|
%
|
M
|
NSA
|
2024-11-01
|
Moody's Seasoned Aaa Corporate Bond Yield
|
WAAA
|
Current
|
%
|
W
|
NSA
|
2024-11-25
|
Moody's Seasoned Baa Corporate Bond Yield
|
WBAA
|
Current
|
%
|
W
|
NSA
|
2024-11-25
|
1-Month Prime Commercial Paper, Average Dealer Offering Rate, Quoted on a Discount Basis (DISCONTINUED)
|
WCP1M
|
Current
|
%
|
W
|
NSA
|
2006-07-27
|
3-Month Prime Commercial Paper, Average Dealer Offering Rate, Quoted on a Discount Basis (DISCONTINUED)
|
WCP3M
|
Current
|
%
|
W
|
NSA
|
2006-07-27
|
6-Month Prime Commercial Paper, Average Dealer Offering Rate, Quoted on a Discount Basis (DISCONTINUED)
|
WCP6M
|
Current
|
%
|
W
|
NSA
|
2006-07-27
|
30-Day AA Financial Commercial Paper Interest Rate
|
WCPF1M
|
Current
|
%
|
W
|
NSA
|
2024-11-25
|
60-Day AA Financial Commercial Paper Interest Rate
|
WCPF2M
|
Current
|
%
|
W
|
NSA
|
2024-11-25
|
90-Day AA Financial Commercial Paper Interest Rate
|
WCPF3M
|
Current
|
%
|
W
|
NSA
|
2024-11-25
|
30-Day AA Nonfinancial Commercial Paper Interest Rate
|
WCPN1M
|
Current
|
%
|
W
|
NSA
|
2024-11-18
|
60-Day AA Nonfinancial Commercial Paper Interest Rate
|
WCPN2M
|
Current
|
%
|
W
|
NSA
|
2024-11-18
|
90-Day AA Nonfinancial Commercial Paper Interest Rate
|
WCPN3M
|
Current
|
%
|
W
|
NSA
|
2024-11-12
|
Market Yield on U.S. Treasury Securities at 10-Year Constant Maturity, Quoted on an Investment Basis
|
WGS10YR
|
Current
|
%
|
W
|
NSA
|
2024-11-25
|
Market Yield on U.S. Treasury Securities at 1-Year Constant Maturity, Quoted on an Investment Basis
|
WGS1YR
|
Current
|
%
|
W
|
NSA
|
2024-11-25
|
Market Yield on U.S. Treasury Securities at 20-Year Constant Maturity, Quoted on an Investment Basis
|
WGS20YR
|
Current
|
%
|
W
|
NSA
|
2024-11-25
|
Market Yield on U.S. Treasury Securities at 30-Year Constant Maturity, Quoted on an Investment Basis
|
WGS30YR
|
Current
|
%
|
W
|
NSA
|
2024-11-25
|
Bank Prime Loan Rate
|
WPRIME
|
Current
|
%
|
W
|
NSA
|
2024-11-21
|
Contract Rate on 30-Year, Fixed-Rate Conventional Home Mortgage Commitments (DISCONTINUED)
|
WRMORTG
|
Current
|
%
|
W
|
NSA
|
2024-01-11
|
1-Year Treasury Bill Secondary Market Rate, Discount Basis
|
WTB1YR
|
Current
|
%
|
W
|
NSA
|
2024-11-25
|
3-Month Treasury Bill Secondary Market Rate, Discount Basis
|
WTB3MS
|
Current
|
%
|
W
|
NSA
|
2024-11-25
|
4-Week Treasury Bill Secondary Market Rate, Discount Basis
|
WTB4WK
|
Current
|
%
|
W
|
NSA
|
2024-11-25
|
6-Month Treasury Bill Secondary Market Rate, Discount Basis
|
WTB6MS
|
Current
|
%
|
W
|
NSA
|
2024-11-25
|
NBER based Recession Indicators for the United States from the Period following the Peak through the Trough
|
USREC
|
Current
|
+1 or 0
|
M
|
NSA
|
2024-11-01
|
NBER based Recession Indicators for the United States from the Period following the Peak through the Trough
|
USRECD
|
Current
|
+1 or 0
|
D
|
NSA
|
2024-11-27
|
NBER based Recession Indicators for the United States from the Period following the Peak through the Trough
|
USRECQ
|
Current
|
+1 or 0
|
Q
|
NSA
|
2024-10-01
|
Asset-Backed Commercial Paper Outstanding
|
ABCOMP
|
Current
|
Bil. of $
|
W
|
SA
|
2024-11-21
|
Asset-Backed Commercial Paper Outstanding
|
ABCOMPN
|
Current
|
Bil. of $
|
W
|
NSA
|
2024-11-21
|
Reserve Adjustment Magnitude (RAM) (DISCONTINUED)
|
ADJRAM
|
Current
|
Bil. of $
|
BW
|
NSA
|
2019-12-19
|
St. Louis Adjusted Reserves (DISCONTINUED)
|
ADJRES
|
Current
|
Bil. of $
|
BW
|
SA
|
2019-12-19
|
St. Louis Adjusted Reserves (DISCONTINUED)
|
ADJRESN
|
Current
|
Bil. of $
|
BW
|
NSA
|
2019-12-19
|
St. Louis Adjusted Reserves (DISCONTINUED)
|
ADJRESNS
|
Current
|
Bil. of $
|
M
|
NSA
|
2019-12-20
|
St. Louis Adjusted Reserves (DISCONTINUED)
|
ADJRESSL
|
Current
|
Bil. of $
|
M
|
SA
|
2019-12-20
|
St. Louis Source Base (DISCONTINUED)
|
ADJSBASE
|
Current
|
Bil. of $
|
BW
|
NSA
|
2019-12-19
|
M2 Plus Institutional Type Money Market Mutual Funds
|
ALLMON
|
Current
|
Bil. of $
|
M
|
SA
|
2014-01-17
|
St. Louis Adjusted Monetary Base (DISCONTINUED)
|
AMBNS
|
Current
|
Bil. of $
|
M
|
NSA
|
2019-12-13
|
St. Louis Adjusted Monetary Base (DISCONTINUED)
|
AMBSL
|
Current
|
Bil. of $
|
M
|
SA
|
2019-12-13
|
St. Louis Adjusted Monetary Base (DISCONTINUED)
|
BASE
|
Current
|
Bil. of $
|
BW
|
SA
|
2019-12-19
|
St. Louis Adjusted Monetary Base (DISCONTINUED)
|
BASENS
|
Current
|
Bil. of $
|
BW
|
NSA
|
2019-12-19
|
Board of Governors Monetary Base, Adjusted for Changes in Reserve Requirements (DISCONTINUED)
|
BOGAMBNS
|
Current
|
Bil. of $
|
M
|
NSA
|
2013-07-05
|