Publications - Post Judgment rate

 

1982 - 1989 | 1990 - 1999 | 2000 - 2004 | 2005 - 2009 | 2010 - 2014

 

2010 U. S. Government Securities
Treasury Constant Maturities - 1 Year
Week Ending
Interest Rate
Effective Date
01/01/10
0.47%
01/04/10 to 01/10/10
01/08/10
0.41%
01/11/10 to 01/17/10
01/15/10
0.35%
01/18/10 to 01/24/10
01/22/10
0.31%
01/25/10 to 01/31/10
01/29/10
0.31%
02/01/10 to 02/07/10
02/05/10
0.33%
02/08/10 to 02/14/10
02/12/09
0.35%
02/15/10 to 02/21/10
02/19/10
0.36%
02/22/10 to 02/28/10
02/26/10
0.34%
03/01/10 to 03/07/10
03/05/10
0.34%
03/08/10 to 03/14/10
03/12/10
0.39%
03/15/10 to 03/21/10
03/19/10
0.41%
03/22/10 to 03/28/10
03/26/10
0.42%
03/29/10 to 04/04/10
04/02/10
0.43%
04/05/10 to 04/11/10
04/09/10
0.47%
04/12/10 to 04/18/10
04/16/10
0.44%
04/19/10 to 04/25/10
04/23/10
0.44%
04/26/10 to 05/02/10
04/30/10
0.43%
05/03/10 to 05/09/10
05/07/10
0.39%
05/10/10 to 05/16/10
05/14/10
0.38%
05/17/10 to 05/23/10
05/21/10
0.35%
05/24/10 to 05/30/10
05/28/10
0.36%
05/31/10 to 06/06/10
06/04/10
0.36%
06/07/10 to 06/13/10
06/11/10
0.33%
06/14/10 to 06/20/10
06/18/10
0.30%
06/21/10 to 06/27/10
06/25/10
0.29%
06/28/10 to 07/04/10
07/02/10
0.31%
07/05/10 to 07/11/10
07/09/10
0.31%
07/12/10 to 07/18/10
07/16/10
0.28%
07/19/10 to 07/25/10
07/23/10
0.27%
07/26/10 to 08/01/10
07/30/10
0.30%
08/02/10 to 08/08/10
08/06/10
0.27%
08/09/10 to 08/15/10
08/13/10
0.25%
08/16/10 to 08/22/10
08/20/10
0.25%
08/23/10 to 08/29/10
08/27/10
0.26%
08/30/10 to 09/05/10
09/03/10
0.25%
09/06/10 to 09/12/10
09/10/10
0.26%
09/13/10 to 09/19/10
09/17/10
0.26%
09/20/10 to 09/26/10
09/24/10
0.25%
09/27/10 to 10/03/10
10/01/10
0.26%
10/04/10 to 10/10/10
10/08/10
0.24%
10/11/10 to 10/17/10
10/15/10
0.22%
10/18/10 to 10/24/10
10/22/10
0.22%
10/25/10 to 10/31/10
10/29/10
0.23%
11/01/10 to 11/07/10
11/05/10
0.22%
11/08/10 to 11/14/10
11/12/10
0.24%
11/15/10 to 11/21/10
11/19/10
0.27%
11/22/10 to 11/28/10
11/26/10
0.27%
11/29/10 to 12/05/10
12/03/10
0.28%
12/06/10 to 12/12/10
12/10/10
0.29%
12/13/10 to 12/19/10
12/17/10
0.30%
12/20/10 to 12/26/10
12/24/10
0.30%
12/27/10 to 01/02/11

 

2011 U. S. Government Securities
Treasury Constant Maturities - 1 Year
Week Ending
Interest Rate
Effective Date
12/31/10
0.30%
01/03/11 to 01/09/11
01/07/11
0.29%
01/10/11 to 01/16/11
01/14/11
0.27%
01/17/11 to 01/23/11
01/21/11
0.27%
01/24/11 to 01/30/11
01/28/11
0.26%
01/31/11 to 02/06/11
02/04/11
0.28%
02/07/11 to 02/13/11
02/11/11
0.30%
02/14/11 to 02/20/11
02/18/11
0.29%
02/21/11 to 02/27/11
02/25/11
0.27%
02/28/11 to 03/06/11
03/04/11
0.26%
03/07/11 to 03/13/11
03/11/11
0.25%
03/14/11 to 03/20/11
03/18/11
0.23%
03/21/11 to 03/27/11
03/25/11
0.26%
03/28/11 to 04/03/11
04/01/11
0.30%
04/04/11 to 04/10/11
04/08/11
0.27%
04/11/11 to 04/17/11
04/15/11
0.24%
04/18/11 to 04/24/11
04/22/11
0.24%
04/25/11 to 05/01/11
04/29/11
0.22%
05/02/11 to 05/08/11
05/06/11
0.20%
05/09/11 to 05/15/11
05/13/11
0.18%
05/16/11 to 05/22/11
05/20/11
0.19%
05/23/11 to 05/29/11
05/27/11
0.19%
05/30/11 to 06/05/11
06/03/11
0.18%
06/06/11 to 06/12/11
06/10/11
0.18%
06/13/11 to 06/19/11
06/17/11
0.18%
06/20/11 to 06/26/11
06/24/11
0.17%
06/27/11 to 07/03/11
07/01/11
0.19%
07/04/11 to 07/10/11
07/08/11
0.19%
07/11/11 to 07/17/11
07/15/11
0.16%
07/18/11 to 07/24/11
07/22/11
0.18%
07/25/11 to 07/31/11
07/29/11
0.21%
08/01/11 to 08/07/11
08/05/11
0.16%
08/08/11 to 08/14/11
08/12/11
0.11%
08/15/11 to 08/21/11
08/19/11
0.11%
08/22/11 to 08/28/11
08/26/11
0.10%
08/29/11 to 09/04/11
09/02/11
0.10%
09/05/11 to 09/11/11
09/09/11
0.12%
09/12/11 to 09/18/11
09/16/11
0.10%
09/19/11 to 09/25/11
09/23/11
0.10%
09/26/11 to 10/02/11
09/30/11
0.11%
10/03/11 to 10/09/11
10/07/11
0.11%
10/10/11 to 10/16/11
10/14/11
0.11%
10/17/11 to 10/23/11
10/21/11
0.12%
10/24/11 to 10/30/11
10/28/11
0.12%
10/31/11 to 11/06/11
11/04/11
0.12%
11/07/11 to 11/13/11
11/11/11
0.10%
11/14/11 to 11/20/11
11/18/11
0.11%
11/21/11 to 11/27/11
11/25/11
0.12%
11/28/11 to 12/04/11
12/02/11
0.13%
12/05/11 to 12/11/11
12/09/11
0.11%
12/12/11 to 12/18/11
12/16/11
0.11%
12/19/11 to 12/25/11
12/23/11
0.12%
12/26/11 to 01/01/12
12/30/11
0.12%
01/02/12 to 01/08/12

 

2012 U. S. Government Securities
Treasury Constant Maturities - 1 Year
Week Ending
Interest Rate
Effective Date
01/06/12
0.12%
01/09/12 to 01/15/12
01/13/12
0.11%
01/16/12 to 01/22/12
01/20/12
0.11%
01/23/12 to 01/29/12
01/27/12
0.12%
01/30/12 to 02/05/12
02/03/12
0.13%
02/06/12 to 02/12/12