One year treasury constant maturity history
[DOC File]A History of Discount Rates and Their Use by Government ...
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6. Treasury yields to maturity for one year notes minus one year expected inflation as calculated by Thies, for business expectations of buying and selling price inflation. The rates shown in Table 7 vary from 2.09 to 5.82%. The 2.09% real rates result from use of the Livingstone poll.
Chapter 7
[LO 1] At the beginning of his current tax year David invests $12,000 in original issue U.S. Treasury bonds with a $10,000 face value that mature in exactly 10 years. David receives $700 in interest ($350 every six months) from the Treasury bonds during the current year and the yield to maturity on the bonds is 5 percent.
[DOCX File]Maine State Legislature
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A. For purposes of this subsection, "one-year United States Treasury bill rate" means the weekly average one-year constant maturity Treasury yield, as published by the Board of Governors of the Federal Reserve System, for the last full week of the calendar year immediately prior to the year in which prejudgment interest begins to accrue.
[DOCX File]Maine State Legislature
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In all other actions, the one-year United States Treasury bill rate plus 6%. (1) For purposes of this paragraph, "one-year United States Treasury bill rate" means the weekly average one-year constant maturity Treasury yield, as published by the Board of Governors of the Federal Reserve System, for the last full week of the calendar year ...
[DOC File]CHAPTER 5: HISTORY OF INTEREST RATES & RISK PREMIUMS
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The 20-year Treasury bond offers a yield to. maturity of 9% per year, which is 150 basis points higher than the rate on the one-year savings deposit; however, you could earn a one-year HPR much less than 7.5% on the bond if long-term interest rates increase during the year.
[DOCX File]Maine Legislature
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A. For purposes of this subsection, "one-year United States Treasury bill rate" means the weekly average one-year constant maturity Treasury yield, as published by the Board of Governors of the Federal Reserve System, for the last full week of the calendar year immediately prior to the year in which prejudgment interest begins to accrue.
[DOC File]94-343 - Maine
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Minimum two (2) year credit history and three trade lines for the eligible borrower. ... the interest rate on the loan will be equal to a rate not more than the one year Treasury constant maturity immediately preceding each June 1, provided that in all such cases, the interest rate shall not exceed the maximum rate allowed by law. ...
[DOC File]An Actuarial Review of the - HUD
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According to the Federal Reserve Board statistics, the one-year constant-maturity Treasury yield rose from 3.64 percent on July 1, 2005 to 5.16 percent on July 1, 2006. Similarly, the ten-year Treasury yield rose from 4.18 percent on July 1, 2005 to 5.09 percent on July 1, …
[DOC File]NAIC
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The stress test is based on the 95th percentile interest rate change over one year. For the five-year constant maturity treasury, this statistic is 197 basis points. (Source: H.15 Release -- Federal Reserve Board of Governors: April 1953 to September 2002).
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