Code identifying the index value used 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

