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Commercial Mortgage Market
WeekMonthYearThree Years
3-Aug-21
2-Aug-21
BPS
27-Jul-21
BPS
3-Jul-21
BPS
3-Aug-20
BPS
Treasury Yields
Treasury 5-Year
0.652%
0.655%
-0.3
0.714%
-6.2
0.864%
-21.2
0.220%
+43.2
Treasury 7-Year
0.944%
0.958%
-1.4
1.003%
-5.9
1.198%
-25.4
0.402%
+54.2
Treasury 10-Year
1.171%
1.182%
-1.1
1.248%
-7.7
1.437%
-26.6
0.554%
+61.7
Swap Rates
Swap Rate 5-Year
0.750%
0.750%
+0.0
0.800%
-5.0
0.950%
-20.0
0.290%
+46.0
Swap Rate 7-Year
0.970%
0.980%
-1.0
1.030%
-6.0
1.190%
-22.0
0.410%
+56.0
Swap Rate 10-Year
1.200%
1.210%
-1.0
1.260%
-6.0
1.420%
-22.0
0.570%
+63.0
LIBOR Rates
Prime Rate
3.25%
3.25%
+0.0
3.25%
+0.0
3.25%
+0.0
3.25%
+0.0
SOFR
0.05%
0.05%
+0.0
0.05%
+0.0
0.05%
+0.0
0.10%
-5.0

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