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US Interest Rates :
Fed Funds, Discount Rate   Swap Rates   PRIVATE BANKERS' ACCEPTANCES  
Commercial Paper Finl & Nonfinl   Corporates Aaa Baa   TREASURY BILL AUCTION HIGH - DISCOUNT BASIS  
CDs   State / Local   AUCTION HIGH BILL RATE BY ISSUE DATE  
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Frequency :
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  Avg over ...days in -->
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Download  US Govt LT Avgs CSV file  obs:0
Column (1) : 20-YEAR U.S. GOVERNMENT CONSTANT MATURITY YIELD Code H0.RIFLGFCY20_N 69 Column (2) : Treasury long-term average (25 years and above) Code H0.RIFLGFL_N 70 Column (3) : COMPOSITE YIELD ON U.S. TREASURY BONDS WITH MATURITY OVER TEN-YEARS Code H1.RIFLGFY10P_N 71
EconStats does not guarantee the accuracy of this data. 20131210
   USA     US Govt LT Avgs - End of Year 
| (1) | (2) | (3) | |20-YEAR U.S. | Treasury | COMPOSITE | | GOVERNMENT | long-term | YIELD ON | | CONSTANT | average (25 | U.S. | | MATURITY | years and | TREASURY | | YIELD | above) | BONDS WITH | | | | MATURITY | | | | OVER | | | | TEN-YEARS | | USA Int | USA Int | USA Int | | Rates | Rates | Rates | |H0.RIFLGFCY2 |H0.RIFLGFL_N |H1.RIFLGFY10 | | 0_N | | P_N | year End of |__1970_-1987_|__2002_-2004_|__1970_-2000_| 2004 e na 5.1000 na 2003 e na 5.0200 na 2002 e na 5.4100 na 2001 r na na na 2000 e na na 6.4100 1999 e na na 6.1400 1998 e na na 5.6900 1997 e na na 6.6700 1996 e na na 6.8000 1995 e na na 6.9300 1994 e na na 7.4100 1993 e na na 6.4500 1992 e na na 7.5200 1991 r na na 8.1600 1990 r na na 8.7400 1989 e na na 8.5800 1988 e na na 8.9800 1987 e 7.3600 na 8.6400 1986 e 7.8400 na 8.1400 1985 e 10.9700 na 10.7500 1984 e 12.4900 na 12.0000 1983 e 11.3400 na 10.8400 1982 r 12.9200 na 12.2300 1981 r 13.7200 na 13.4300 1980 r 11.3600 na 11.8900 1979 e 9.3200 na 9.5900 1978 e 8.4800 na 8.3500 1977 e 7.6700 na 7.2300 1976 e 7.8600 na 6.3900 1975 r 8.2000 na 7.1700 1974 r 8.0600 na 6.7800 1973 r 7.1200 na 6.3500 1972 e 6.0100 na 5.6300 1971 e 6.1200 na 5.6200 1970 r 6.8700 na 5.9700 1969 r na na na