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Source DataUnmodified from Statistics Canada

Selected United States dollar interest rates, last Wednesday unless otherwise stated, Bank of Canada

Quarterly1925-01-012026-01-0160 periods · 5 series

Dimensions

Geography (1)
Rate (14)

Series (5)

91-day treasury bill yieldLatest: (2026-01)
United States treasuries constant maturity: 10 yearLatest: 3.83 (2026-01)
Treasury bills at Monday tender, adjusted: 3 month (average)Latest: (2026-01)
United States treasuries constant maturity: 5 yearLatest: (2026-01)
United States treasuries constant maturity: long termLatest: 4.26 (2026-01)

Chart

Data

Period 91-day treasury bill yieldUnited States treasuries constant maturity: 10 yearTreasury bills at Monday tender, adjusted: 3 month (average)United States treasuries constant maturity: 5 yearUnited States treasuries constant maturity: long term
2026-013.84.3
2025-123.74.2
2025-113.64.0
2025-103.74.1
2025-093.74.2
2025-083.74.2
2025-074.04.4
2025-063.84.3
2025-054.14.5
2025-043.74.2
2025-034.14.4
2025-024.14.3
2025-014.44.6
2024-124.44.6
2024-114.14.3
2024-104.14.3
2024-093.53.8
2024-083.63.8
2024-074.04.1
2024-064.34.3
2024-054.64.6
2024-044.64.7
2024-034.24.2
2024-024.34.3
2024-013.94.0
2023-123.83.8
2023-114.24.3
2023-104.95.0
2023-094.74.6
2023-084.34.1
2023-074.13.9
2023-064.03.7
2023-053.73.6
2023-043.53.4
2023-033.73.6
2023-024.13.9
2023-013.53.5
2022-124.03.9
2022-113.83.7
2022-104.24.0
2022-09
2022-083.33.2
2022-07
2022-063.23.1
2022-052.72.8
2022-042.82.8
2022-032.42.4
2022-021.92.0
2022-011.71.9
2021-121.31.6
Showing 150 of 60 periods