Current prime interest rate. Current prime rate, libor rates and other major interest rates. Royal bank car loans - financing your vehicle - current interest rates.Unfcu - current rates. |
Canadian current ratesCurrent prime interest rate. Composite Dow Jones Transports Dow Jones Utilities Money Rates Prime Rate 3 Month LIBOR 3 Month Treasury 1 Year Treasury 5 Year Treasury 10 Year Treasury 30 Year Treasury 30 Year Mortgage Rate Fed Funds U.S. General Economy Gross Domestic Product Consumer Price Index Gold Prices Oil Prices Unemployment Housing Starts Retail Sales Producer Price Index Industrial Prod. Index M1 Money Supply Currency Exchange Rates Yen to US Dollar Euro to US Dollar British Pound to USD Swiss Franc to USD Canadian Dollar to USD Australian Dollar to USD Mexican Peso to USD Prime Loan Interest Rate Forecast Prime Loan Interest Rate Forecast Percent, Average of Month. May2006 Jun2006 Jul2006 Aug2006 Sep2006 Oct2006 Forecast Value 8.00 8.00 8.25 8.50 8.50 8.50 50% Correct 0.19 0.22 0.25 0.27 0.28 0.29 90% Correct 0.46 0.53 0.60 0.65 0.68 0.71 Updated Monday, May 15, 2006 Prime Loan Interest Rate Past Trend, Present Value & Future Projection Other Links of Interest: U.S. Bank Prime Loan Rate Historical Data Prime Rate Extended Forecast by subscription Fed Funds Interest Rate Forecast 3 Month T-Bill Yield Forecast 1 Year Treasury Yield Forecast Federal Reserve's Website for Current Interest Rates A long range forecast for this or similar economic series is available by subscription Click here for more information or to subscribe now Current Money Rates May 22, 2006 (Close of Day) Indicator Value Prime Rate 8.00 30 Year T-Bond 5.13 10 Year T-Note 5.04 91 Day T-Bill 4.68 Fed Funds 5.00 LIBOR 3 Month 5.21 Mortgage Rate 30 Year 6.57 Refer This Page To a Friend FFC's 100% No Spam Guarantee Terms of S![]() |
Current interest ratesRades represent sales of commercial paper by dealers or direct issuers to investors (that is, the offer side). The 1-, 2-, and 3-month rates are equivalent to the 30-, 60-, and 90-day dates reported on the Board's Commercial Paper Web page (www.federalreserve.gov releases cp ). 6. An average of dealer bid rates on nationally traded certificates of deposit. 7. Bid rates for Eurodollar deposits collected around 9:30 a.m. Eastern time. 8. Rate posted by a majority of top 25 (by assets in domestic offices) insured U.S.-chartered commercial banks. Prime is one of several base rates used by banks to price short-term business loans. 9. The rate charged for discounts made and advances extended under the Federal Reserve's primary credit discount window program, which became effective January 9, 2003. This rate replaces that for adjustment credit, which was discontinued after January 8, 2003. For further information, see www.federalreserve.gov boarddocs press bcreg 2002 200210312 default.htm. The rate reported is that for the Federal Reserve Bank of New York. Historical series for the rate on adjustment credit as well as the rate on primary credit are available at www.federalreserve.gov releases h15 data.htm. 10. Yields on actively traded non-inflation-indexed issues adjusted to constant maturities. The 30-year Treasury constant maturity series was discontinued on February 18, 2002, and reintroduced on February 9, 2006. From February 18, 2002, to February 9, 2006, the U.S. Treasury published a factor for adjusting the daily nominal 20-year constant maturity in order to estimate a 30- |
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