Report of Selected Money Market Rates (Commercial banks and thrifts)

Report of Selected Money Market Rates

FR2420_20140401_f_draft

Report of Selected Money Market Rates (Commercial banks and thrifts)

OMB: 7100-0357

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Report of Selected Money Market Rates (FR 2420)

DRAFT - December 16, 2013

Part A Federal Funds
Amount
(In millions of $)

Maturity
(YYYYMMDD)

Rate
(0.00000)

Part B Eurodollar Transactions
Amount
(In millions of $)

Maturity
(YYYYMMDD)

Rate
(0.00000)

Maturity
(YYYYMMDD)

Rate
(0.00000)

Part C CDs
Amount
(In millions of $)

Floating (1) or
Fixed (2)

Reset Period

Reference Rate

Negotiable (Y or N)


File Typeapplication/pdf
File Modified2014-02-03
File Created2013-12-18

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