Quarterly average of Euro-commercial paper rates: 2 month - sterling
Quarterly average of yield from 2.5% Index Linked Treasury Stock 2016
Quarterly average calculated 10 year par gross redemption yield on British Government Securities
Quarterly average rate of discount, 3 month Treasury bills, Sterling
Quarterly average of Eligible bills discount rate, 3 month
Quarterly average level of yield from 2% Index Linked Treasury Stock 2006
Quarterly average of 4 UK Banks' base rates
Quarterly average Sterling 3 month mean interbank lending rate
Quarterly average of yield from BoE Euro Treasury Note 2.5% 2011
Quarterly average of yield from BoE Euro Treasury Note 2.375% 2012
Quarterly average of yield from BoE Euro Treasury Note 1.375% 2014
Quarterly average of yield from BoE Euro Treasury Note 0.5% 2015
Quarterly average of yield from BoE Euro Treasury Note 0.5% 2016
Quarterly average of official Bank Rate
Quarterly average of yield from BoE Euro Treasury Note 2.75% 2006
Quarterly average of yield from BoE Euro Treasury Note 4.625% 2010
Quarterly average of 3 month Euro-Dollar deposit interest rate, mean offer/bid
Quarterly average of 3 month Euro-currency, offered rate, US Dollar
Quarterly average of EURIBOR, 3 month
Quarterly average of 3 month Euro-Sterling deposit interest rate, mean bid/offer
Quarterly average of Gilt repo interest rate, 1 month
Quarterly average of Gilt repo interest rate, 1 week
Quarterly average of Gilt repo interest rate, 1 year
Quarterly Average of level of Gilt repo interest rate, 2 week
Quarterly average of Gilt repo interest rate, 3 months
Quarterly average of Gilt repo interest rate, 6 months
Quarterly average of Gilt repo interest rate, overnight
Quarterly level of yield from 2.5% Index Linked Treasury Stock 2016
End quarter calculated 10 year par gross redemption yield on British Government Securities
End quarter rate of discount, 3 month Treasury bills, Sterling
End quarter level of Eligible bills discount rate, 3 month
End quarter level of yield from 2% Index Linked Treasury Stock 2006
Quarterly average of Euro-commercial paper rates:1 month - euro
Quarterly average of Euro-commercial paper rates:1 month - dollar
Quarterly average of Euro-commercial paper rates:1 month - sterling
Quarterly average of Euro-commercial paper rates: 2 month - euro
Quarterly average of Euro-commercial paper rates: 2 month - dollar
Quarterly average of Euro-commercial paper rates: 3 month - euro
Quarterly average of Euro-commercial paper rates: 3 month - dollar
Quarterly average of Euro-commercial paper rates: 3 month - sterling
Quarterly average of Euro-commercial paper rates: 6 months - euro
Quarterly average of Euro-commercial paper rates: 6 months - dollar
Quarterly average of Euro-commercial paper rates: 6 months - sterling
Quarterly average rate of discount, BoE 3 month Euro Bills, Euro
Quarterly average 3 month Euro interbank lending rate
Quarterly average of yield from 2.5% Index Linked Treasury Stock 2020
Quarterly average of yield from British Government Securities, 20 year Inflation Implied Forward
Quarterly average yield from British Government Securities, 20 year Inflation Zero Coupon
Quarterly average of yield from British Government Securities, 20 year Nominal Implied Forward
Quarterly average yield from British Government Securities, 20 year Nominal Par Yield
Quarterly average of yield from British Government Securities, 20 year Nominal Zero Coupon
Quarterly average of yield from British Government Securities, 20 year Real Implied Forward
Quarterly average yield from British Government Securities, 20 year Real Zero Coupon
Quarterly average rate of discount, 3 month Treasury Bills, US Dollar
Quarterly average of yield from British Government Securities, 10 year Inflation Implied Forward
End quarter Sterling 3 month mean interbank lending rate
Quarterly average yield from British Government Securities, 10 year Inflation Zero Coupon
Quarterly average of yield from British Government Securities, 10 year Nominal Implied Forward
Quarterly average yield from British Government Securities, 10 year Nominal Par Yield
Quarterly average of yield from British Government Securities, 10 year Nominal Zero Coupon
Quarterly average of yield from British Government Securities, 10 year Real Implied Forward
Quarterly average yield from British Government Securities, 10 year Real Zero Coupon
Quarter average of yield from British Government Securities, 5 year Inflation Implied Forward
Quarterly average yield from British Government Securities, 5 year Inflation Zero Coupon
Quarterly average of yield from British Government Securities, 5 year Nominal Implied Forward
Quarterly average yield from British Government Securities, 5 year Nominal Par Yield
Quarterly average of yield from British Government Securities, 5 year Nominal Zero Coupon
Quarterly average Sterling overnight index average (SONIA) rate
Quarterly average of yield from British Government Securities, 5 year Real Implied Forward
Quarterly average yield from British Government Securities, 5 year Real Zero Coupon
Quarterly average of Sterling certificates of deposit interest rate, 3 months, mean offer/bid
Quarterly average of Eligible bills discount rate, 1 month
Quarterly average Sterling 1 month mean interbank lending rate
Quarterly average Sterling 6 month mean interbank lending rate
Quarterly average Sterling 1 week mean interbank lending rate
Quarterly average Sterling 2 week mean interbank lending rate
Quarterly average Sterling 1 year mean interbank lending rate
Quarterly average of Flat yield from 3.5% War loan stock
Quarterly average of yield from BoE Euro Treasury Note 1.25% 2018
Quarterly Average of Yield from BoE Euro Treasury Note 1.25% 2019
Quartely average of yield from BoE Euro Treasury Note 1.75% 2020
Quartely average of yield from BoE Euro Treasury Note 2.5% 2021
Quartely average of yield from BoE Euro Treasury Note 0.5% 2023
End quarter level of yield form BoE euro Treasury Note 4.5% to 2004
End quarter level of 3 month Euro-Dollar deposit interest rate, mean offer/bid
End quarter level of 3 month Euro-currency, offered rate, US Dollar
End quarter level of EURIBOR, 3 month
End quarter 3 month Euro-Sterling deposit interest rate, mean offer/bid
End quarter level of Gilt repo interest rate, 1 month
End quarter level of Gilt repo interest rate, 1 week
End quarter level of Gilt repo interest rate, 1 year
End quarter level of Gilt repo interest rate, 2 week
End quarter level of Gilt repo interest rate, 3 months
End quarter level of Gilt repo interest rate, 6 months
End quarter level of Gilt repo interest rate, overnight
End quarter level of Euro-commercial paper rates:1 month - euro
End quarter level of Euro-commercial paper rates:1 month - dollar
End quarter level of Euro-commercial paper rates:1 month - sterling
End quarter level of Euro-commercial paper rates: 2 month - euro
End quarter level of Euro-commercial paper rates: 2 month - dollar
End quarter level of Euro-commercial paper rates: 2 month - sterling
End quarter level of Euro-commercial paper rates: 3 month - euro
End quarter level of Euro-commercial paper rates: 3 month - dollar
End quarter level of Euro-commercial paper rates: 3 month - sterling
End quarter level of Euro-commercial paper rates: 6 months - euro
End quarter level of Euro-commercial paper rates: 6 months - dollar
End quarter level of Euro-commercial paper rates: 6 months - sterling
End quarter level of 4 UK Banks' base rates
End quarter level of yield from BoE Euro Treasury Note 2.5% 2011
End quarter level of yield from BoE Euro Treasury Note 2.375% 2012
End quarter level of yield from BoE Euro Treasury Note 1.375% 2014
End quarter level of yield from BoE Euro Treasury Note 0.5% 2015
End quarter level of yield from BoE Euro Treasury Note 0.5% 2016
End quarter official Bank Rate
End quarter level of yield from BoE Euro Treasury Note 2.75% 2006
End quarter level of yield from BoE Euro Treasury Note 4.625% 2010
End quarter rate of discount, BoE 3 month Euro Bills, Euro
End quarter level 3 month Euro interbank lending rate
Quarterly End of yield from 2.5% Index Linked Treasury Stock 2016
End quarter level of yield from British Government Securities, 20 year Inflation Implied Forward
End quarterly level of yield from British Government Securities, 20 year, Inflation Zero Coupon
End quarter level of yield from British Government Securities, 20 year Nominal Implied Forward
End quarter level of yield from British Government Stock, 20 year Nominal Par Yield
End quarter level of yield from British Government Securities, 20 year Nominal Zero Coupon
End quarter level of yield form British Government Securities, 20 year Real Implied Forward
End quarter level of yield from British Government Securities, 20 year Real Zero Coupon
End quarter level average rate of discount, 3 month Treasury Bills, US Dollar
End quarter level of yield from BoE Euro Treasury Note 1.25% 2018
End Quarter Level of Yield from BoE Euro Treasury Note 1.25% 2019
End quarter level of yield from BoE Euro Treasury Note 2.5% 2021
End quarter level of yield from BoE Euro Treasury Note 0.5% 2023
End quarter level of yield from British Government Securities, 10 year Inflation Implied Forward
End quarter level of yield from British Government Securities, 10 year Inflation Zero Coupon
End quarter level of yield from British Government Securities, 10 year Nominal Implied Forward
End quarter level of yield from British Government Stock, 10 year Nominal Par Yield
End quarter level of yield from British Government Securites, 10 year Nominal Zero Coupon
End quarter level of yield from British Government Securities, 10 year Real Implied Forward
End quarter level of yield from British Government Securities, 10 year Real Zero Coupon
End quarter level of yield from British Government Securities, 5 year Inflation Implied Forward
End quarter level of yield from British Government Securities, 5 year Inflation Zero Coupon
End quarter level of yield from British Government Securities, 5 year Nominal Implied Forward
End quarter level of yield from British Government Securities, 5 year Nominal Par Yield
End quarter level of yield from British Government Securities, 5 year Nominal Zero Coupon
End quarter Sterling overnight index average (SONIA) rate
End quarter level of yield from British Government Securities, 5 year Real Implied Forward
End quarter level of yield from British Government Securities, 5 year Real Zero Coupon
End quarter level of Sterling certificates of deposit interest rate, 3 months, mean offer/bid
End quarter level of Eligible bills discount rate, 1 month
End quarter Sterling 1 month mean interbank lending rate
End quarter Sterling 6 month mean interbank lending rate