Market Indicators

Market Indicators
9/23/2022 08:30 AM
Secured Overnight Financing Rate (SOFR)
2.99%
Interest Rate on Reserve Balances
3.15%
Prime Rate
6.25%
3 Month Bill
3.21%
6 Month Bill
3.87%
1 Year T-Bill
4.06%
2 Year T-Note
4.15%
5 Year T-Note
3.95%
10 Year T-Note
3.72%
30 Year Bond
3.63%
Goldman Sachs Financial Square Government Fund
2.8878%