1089 Source of Interest Rate Change Code
1089 Source of Interest Rate Change Code
Code identifying the source of index values for adjustable rate mortgage rate changes.
Type
ID
Length
Max 2 / Min 2
Codes
<> 01
Treasury Bill - 1 Year
<> 02
Treasury Bill - 3 Year
<> 03
Treasury Bill - 6 Months
<> 04
Treasury Bill - 5 Year
<> 05
Treasury Bill: 3 Month Index (Weekly Auction)
<> 06
Treasury Bill: 6 Month Index (Weekly Auction)
<> 07
Treasury Bill: 6 Month Index (Monthly Auction)
<> 08
Treasury Bill: 6 Month (Invest) (Weekly)
<> 09
Treasury Bill: 6 Month (Invest) (Monthly)
<> 10
Cumulative Average Previous 4 Weeks of 6 Month T Bills
<> 11
Cumulative Average Previous 26 Weeks of 6 Month T Bills
<> 12
Cumulative Average Previous 12 Months of 6 Month T Bills
<> 13
Treasury Sec.: 1 Year (Weekly Average)
<> 14
Treasury Sec.: 2 Year (Weekly Average)
<> 15
Treasury Sec.: 3 Year (Weekly Average)
<> 16
Treasury Sec.: 5 Year (Weekly Average)
<> 17
Treasury Sec.: 7 year (Weekly Average)
<> 18
Treasury Sec.: 10 Year (Weekly Average)
<> 19
Treasury Sec.: 1 Year (Monthly Average)
<> 20
Treasury Sec.: 3 Year (Monthly Average)
<> 21
Treasury Sec.: 5 Year (Monthly Average)
<> 22
Cumulative Average Previous 12 Months of 1 Year Treasury Secretary
<> 23
Federal Home Loan Bank District 11 Index
<> 24
OTS: Average Contract Rate
<> 25
OTS: Series of Closed Loan Index
<> 26
OTS: Fixed Rate, Closed Loan All Lenders
<> 27
OTS: S & L Average Quarterly Cost of Funds
<> 28
OTS: S & L Median Monthly Cost of Funds
<> 29
OTS: 11th Dist. Cost of Funds (Monthly)
<> 30
OTS: 4th Dist. Cost of Funds (Monthly)
<> 31
OTS: 7th Dist. Cost of Funds (Monthly)
<> 32
OTS: 1 Year 1st Dist. Advance Rate (Daily)
<> 33
OTS: 11th Dist. Daily Guarantee 30 Day Comm 5 Year
<> 34
Federal Home Loan Bank Index
<> 35
OTS: 4 Year 2nd Dist. Advance Rate (Daily)
<> 36
OTS: 5 Year 2nd Dist. Advance Rate (Daily)
<> 37
OTS: Average Previous 12 Month Series Closed Loans
<> 38
OTS: Average Previous 12 Month 11th Dist. Cost of Funds
<> 39
OTS: Semi-Annual Cost of Funds for CA Members
<> 40
OTS: Nat. Mon. Median Cost of Funds Ratio
<> 41
OTS: Federal Cost of Funds
<> 42
OTS: Quarterly National Average Cost of Funds
<> 43
OTS: Semi-annual National Average Cost of Funds
<> 44
London Interbank Offered Rate (LIBOR)
<> 45
Libor: 1 Month Rate
<> 46
Libor.: 3 Month Rate
<> 47
Libor.: 6 Month Rate
<> 48
Libor.: 1 Year Rate
<> 49
Libor.: 1 Month Fannie Mae Index (Monthly)
<> 50
Libor: 3 Month Fannie Mae Index (Monthly)
<> 51
Libor.: 6 Month Fannie Mae Index (Monthly)
<> 52
Libor: 12 Month Fannie Mae Index (Monthly)
<> 53
Libor: 1 Month Wall Street Journal Rate
<> 54
Libor: 6 Month Wall Street Journal Rate
<> 56
National Cost of Funds
<> 57
Prime
<> 58
National Average Contract Rate on Previous Occ. Homes
<> 59
Wall Street Journal Prime Rate
<> 60
6 Month Certificate of Deposit Rate
<> 61
NY Federal Res. 6 Month Jumbo CD Rate (Daily)
<> 62
6 Month Money Market-Comml. Bank (Weekly)
<> 63
6 Month Treasury Bill Secondary Market
<> 64
6 Month CDS-Secondary Market (Weekly)
<> 65
6 Month CDS-Secondary Market (Monthly)
<> 66
Fannie Mae: Blend 50% Frm./50% 1 Year Treas.
<> 67
Fannie Mae: Blend 75% Frm./25% 1 Year Treas.
<> 68
Fannie Mae: 30 Day Frm. Yield Actual/Actl.
<> 69
Fannie Mae: 30 Day Frm. Yield Schl./Actual
<> 70
Fannie Mae: 60 Day Frm. Yield Actual/Actl.
<> 71
Fannie Mae: 60 Day Frm. Yield Schl./Actual
<> ZZ
Mutually Defined