NOTE: THIS DATA FILE WILL CHANGE! To improve accessibility of data for all users, we will convert this file from a text format to an html table by the end of June 2024. Title: Market Yield on U.S. Treasury Securities at 10-Year Constant Maturity, Quoted on an Investment Basis Series ID: RIFLGFCY10NA Source: Board of Governors of the Federal Reserve System (US) Release: H.15 Selected Interest Rates Seasonal Adjustment: Not Seasonally Adjusted Frequency: Annual Units: Percent Date Range: 1962-01-01 to 2023-01-01 Last Updated: 2024-01-02 3:25 PM CST Notes: Averages of daily figures. For further information regarding treasury constant maturity data, please refer to the H.15 Statistical release notes (https://www.federalreserve.gov/releases/h15/default.htm) and the Treasury Yield Curve Methodology (https://home.treasury.gov/policy-issues/financing-the-government/interest-rate-statistics/treasury-yield-curve-methodology). DATE VALUE 1962-01-01 3.95 1963-01-01 4.00 1964-01-01 4.19 1965-01-01 4.28 1966-01-01 4.93 1967-01-01 5.07 1968-01-01 5.64 1969-01-01 6.67 1970-01-01 7.35 1971-01-01 6.16 1972-01-01 6.21 1973-01-01 6.85 1974-01-01 7.56 1975-01-01 7.99 1976-01-01 7.61 1977-01-01 7.42 1978-01-01 8.41 1979-01-01 9.43 1980-01-01 11.43 1981-01-01 13.92 1982-01-01 13.01 1983-01-01 11.10 1984-01-01 12.46 1985-01-01 10.62 1986-01-01 7.67 1987-01-01 8.39 1988-01-01 8.85 1989-01-01 8.49 1990-01-01 8.55 1991-01-01 7.86 1992-01-01 7.01 1993-01-01 5.87 1994-01-01 7.09 1995-01-01 6.57 1996-01-01 6.44 1997-01-01 6.35 1998-01-01 5.26 1999-01-01 5.65 2000-01-01 6.03 2001-01-01 5.02 2002-01-01 4.61 2003-01-01 4.01 2004-01-01 4.27 2005-01-01 4.29 2006-01-01 4.80 2007-01-01 4.63 2008-01-01 3.66 2009-01-01 3.26 2010-01-01 3.22 2011-01-01 2.78 2012-01-01 1.80 2013-01-01 2.35 2014-01-01 2.54 2015-01-01 2.14 2016-01-01 1.84 2017-01-01 2.33 2018-01-01 2.91 2019-01-01 2.14 2020-01-01 0.89 2021-01-01 1.45 2022-01-01 2.95 2023-01-01 3.96