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Commercial Mortgage Market
WeekMonthYearThree Years
12-Aug-22
11-Aug-22
BPS
5-Aug-22
BPS
12-Jul-22
BPS
12-Aug-21
BPS
Treasury Yields
Treasury 5-Year
2.945%
2.972%
-2.7
2.955%
-1.0
3.028%
-8.3
0.822%
+212.3
Treasury 7-Year
2.906%
2.937%
-3.1
2.907%
-0.1
3.044%
-13.8
1.124%
+178.2
Treasury 10-Year
2.850%
2.877%
-2.7
2.946%
-9.6
2.980%
-13.0
1.352%
+149.8
Swap Rates
Swap Rate 5-Year
3.019%
3.035%
-1.6
3.002%
+1.7
3.027%
-0.8
0.920%
+209.9
Swap Rate 7-Year
2.937%
2.956%
-1.9
2.914%
+2.3
3.019%
-8.2
1.150%
+178.7
Swap Rate 10-Year
2.921%
2.940%
-1.9
2.890%
+3.1
3.050%
-12.9
1.370%
+155.1
LIBOR Rates
Prime Rate
5.50%
5.50%
+0.0
5.50%
+0.0
4.75%
+75.0
3.25%
+225.0
SOFR
2.28%
2.29%
-1.0
2.29%
-1.0
1.53%
+75.0
0.05%
+223.0
BSBY
2.33646
2.33412
+23.4
2.33929
-28.3
1.57231
+7641.5
0.07585
+22606.1

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