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H.15 Selected Interest Rates - last released Friday, February 13, 2026

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You have 11 series in your package
Series (Select to preview)Available FromAvailable ToObservationsDescriptionInclude
H15/H15/RIFLGFCM01_N.B 2001-07-31 2026-02-12 6,403 Market yield on U.S. Treasury securities at 1-month constant maturity, quoted on investment basis
H15/H15/RIFLGFCM03_N.B 1981-09-01 2026-02-12 11,598 Market yield on U.S. Treasury securities at 3-month constant maturity, quoted on investment basis
H15/H15/RIFLGFCM06_N.B 1981-09-01 2026-02-12 11,598 Market yield on U.S. Treasury securities at 6-month constant maturity, quoted on investment basis
H15/H15/RIFLGFCY01_N.B 1962-01-02 2026-02-12 16,728 Market yield on U.S. Treasury securities at 1-year constant maturity, quoted on investment basis
H15/H15/RIFLGFCY02_N.B 1976-06-01 2026-02-12 12,968 Market yield on U.S. Treasury securities at 2-year constant maturity, quoted on investment basis
H15/H15/RIFLGFCY03_N.B 1962-01-02 2026-02-12 16,728 Market yield on U.S. Treasury securities at 3-year constant maturity, quoted on investment basis
H15/H15/RIFLGFCY05_N.B 1962-01-02 2026-02-12 16,728 Market yield on U.S. Treasury securities at 5-year constant maturity, quoted on investment basis
H15/H15/RIFLGFCY07_N.B 1969-07-01 2026-02-12 14,773 Market yield on U.S. Treasury securities at 7-year constant maturity, quoted on investment basis
H15/H15/RIFLGFCY10_N.B 1962-01-02 2026-02-12 16,728 Market yield on U.S. Treasury securities at 10-year constant maturity, quoted on investment basis
H15/H15/RIFLGFCY20_N.B 1962-01-02 2026-02-12 16,728 Market yield on U.S. Treasury securities at 20-year constant maturity, quoted on investment basis
H15/H15/RIFLGFCY30_N.B 1977-02-15 2026-02-12 12,783 Market yield on U.S. Treasury securities at 30-year constant maturity, quoted on investment basis