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30 Day Fed Funds (E)

Symbol Last Change Time
Fed Funds (E) Oct 25 95.9175 +0.0025 07:39
Fed Funds (E) Nov 25 96.1450 unch 07:43
Fed Funds (E) Dec 25 96.3150 +0.0100 07:29
Fed Funds (E) Jan 26 96.4100 +0.0100 07:38
Fed Funds (E) Feb 26 96.5250 +0.0100 07:41
Fed Funds (E) Mar 26 96.5800 +0.0150 07:43
Fed Funds (E) Apr 26 96.6600 +0.0150 07:42
Fed Funds (E) May 26 96.7350 +0.0200 07:43
Fed Funds (E) Jun 26 96.7950 +0.0200 07:39
Fed Funds (E) Jul 26 96.8850 +0.0200 07:43
Fed Funds (E) Aug 26 96.9650 +0.0250 07:43
Fed Funds (E) Sep 26 97.0050 +0.0250 07:43
Fed Funds (E) Oct 26 97.0550 +0.0250 07:43
Fed Funds (E) Nov 26 97.0800 +0.0150 06:51
Fed Funds (E) Dec 26 97.0900s +0.0300 10/13/25
Fed Funds (E) Jan 27 97.1050s +0.0300 10/13/25
Fed Funds (E) Feb 27 97.1150s +0.0300 10/13/25
Fed Funds (E) Mar 27 97.1250s +0.0300 10/13/25
Fed Funds (E) Apr 27 97.1200s +0.0300 10/13/25
Fed Funds (E) May 27 97.0950s +0.0300 10/13/25
Fed Funds (E) Jun 27 97.0750s +0.0300 10/13/25
Fed Funds (E) Jul 27 97.0750s +0.0300 10/13/25
Fed Funds (E) Aug 27 97.0350s +0.0300 10/13/25
Fed Funds (E) Sep 27 97.0350s +0.0300 10/13/25
Fed Funds (E) Oct 27 97.0300s +0.0300 10/13/25
Fed Funds (E) Nov 27 97.0100s +0.0300 10/13/25
Fed Funds (E) Dec 27 96.9900s +0.0300 10/13/25
Fed Funds (E) Jan 28 96.9750s +0.0300 10/13/25
Fed Funds (E) Feb 28 96.9600s +0.0300 10/13/25
Fed Funds (E) Mar 28 96.9450s +0.0300 10/13/25
Fed Funds (E) Apr 28 96.9050s +0.0300 10/13/25
Fed Funds (E) May 28 96.8800s +0.0300 10/13/25
Fed Funds (E) Jun 28 96.8600s +0.0300 10/13/25
Fed Funds (E) Jul 28 96.8400s +0.0300 10/13/25
Fed Funds (E) Aug 28 96.7600s +0.0300 10/13/25
Fed Funds (E) Sep 28 96.7600s +0.0300 10/13/25
Fed Funds (E) Oct 28 96.7550s +0.0300 10/13/25
Fed Funds (E) Nov 28 96.7350s +0.0300 10/13/25
Fed Funds (E) Dec 28 96.7150s +0.0300 10/13/25
Fed Funds (E) Jan 29 96.7000s +0.0300 10/13/25
Fed Funds (E) Feb 29 96.6850s +0.0300 10/13/25
Fed Funds (E) Mar 29 96.6700s +0.0300 10/13/25
Fed Funds (E) Apr 29 96.6300s +0.0300 10/13/25
Fed Funds (E) May 29 96.6050s +0.0300 10/13/25
Fed Funds (E) Jun 29 96.5850s +0.0300 10/13/25
Fed Funds (E) Jul 29 96.5650s +0.0300 10/13/25
Fed Funds (E) Aug 29 96.4850s +0.0300 10/13/25
Fed Funds (E) Sep 29 96.4850s +0.0300 10/13/25
Fed Funds (E) Oct 29 96.4800s +0.0300 10/13/25
Fed Funds (E) Nov 29 96.4600s +0.0300 10/13/25
Fed Funds (E) Dec 29 96.4400s +0.0300 10/13/25
Fed Funds (E) Jan 30 96.4250s +0.0300 10/13/25
Fed Funds (E) Feb 30 96.4100s +0.0300 10/13/25
Fed Funds (E) Mar 30 96.3950s +0.0300 10/13/25
Fed Funds (E) Apr 30 96.3550s +0.0300 10/13/25
Fed Funds (E) May 30 96.3300s +0.0300 10/13/25
Fed Funds (E) Jun 30 96.3100s +0.0300 10/13/25
Fed Funds (E) Jul 30 96.2900s +0.0300 10/13/25
Fed Funds (E) Aug 30 96.2100s +0.0300 10/13/25
Fed Funds (E) Sep 30 96.2100s +0.0300 10/13/25
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