Movement from 365 days before Judgment Day

10-Year Treasury Constant Maturity Rate


BofA Merrill Lynch US High Yield Option-Adjusted Spread


3-Month Treasury Bill: Secondary Market Rate


10-Year Treasury Constant Maturity Minus 2-Year Treasury Constant Maturity


1-Month London Interbank Offered Rate (LIBOR), based on U.S. Dollar


3-Month London Interbank Offered Rate (LIBOR), based on U.S. Dollar


Crude Oil Prices: West Texas Intermediate (WTI) - Cushing, Oklahoma


10-Year Breakeven Inflation Rate