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Graph and download economic data for ICE BofA US Corporate Index Option-Adjusted Spread (BAMLC0A0CM) from 1996-12-31 to 2025-10-01 about option-adjusted spread, corporate, and USA.
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View the spread between a computed option-adjusted index of all BBB-rated bonds and a spot Treasury curve.
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United States - ICE BofA AA US Corporate Index Option-Adjusted Spread was 0.42% in September of 2025, according to the United States Federal Reserve. Historically, United States - ICE BofA AA US Corporate Index Option-Adjusted Spread reached a record high of 5.15 in November of 2008 and a record low of 0.36 in October of 1997. Trading Economics provides the current actual value, an historical data chart and related indicators for United States - ICE BofA AA US Corporate Index Option-Adjusted Spread - last updated from the United States Federal Reserve on October of 2025.
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Graph and download economic data for ICE BofA 1-3 Year US Corporate Index Option-Adjusted Spread (BAMLC1A0C13Y) from 1996-12-31 to 2025-10-02 about 1 to 3 years, option-adjusted spread, corporate, and USA.
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United States - ICE BofA US Corporate Index Option-Adjusted Spread was 0.79% in September of 2025, according to the United States Federal Reserve. Historically, United States - ICE BofA US Corporate Index Option-Adjusted Spread reached a record high of 6.56 in December of 2008 and a record low of 0.53 in October of 1997. Trading Economics provides the current actual value, an historical data chart and related indicators for United States - ICE BofA US Corporate Index Option-Adjusted Spread - last updated from the United States Federal Reserve on September of 2025.
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View market daily updates and historical trends for US Corporate AA Option-Adjusted Spread. from United States. Source: Bank of America Merrill Lynch. Tra…
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Graph and download economic data for ICE BofA 5-7 Year US Corporate Index Option-Adjusted Spread (BAMLC3A0C57Y) from 1996-12-31 to 2025-10-02 about 5 to 7 years, option-adjusted spread, corporate, and USA.
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View market daily updates and historical trends for Euro High Yield Index Option-Adjusted Spread. Source: Bank of America Merrill Lynch. Track economic da…
The Solactive Green Bond EUR USD IG Index is a rules-based and market value weighted index that is engineered to mirror the investment grade market of green bonds. Green bonds are securities that earmark investment to climate and sustainable projects through the use of their proceeds. Since 2014, the index increased from ****** index points to the peak value of ****** at the end of 2020, before falling to ****** index points as of *****************. By the end of 2023, the index increased again, reaching ******.
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Graph and download economic data for ICE BofA Euro High Yield Index Option-Adjusted Spread (BAMLHE00EHYIOAS) from 1997-12-31 to 2025-10-02 about option-adjusted spread, Euro Area, Europe, yield, interest rate, interest, rate, and indexes.
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View market daily updates and historical trends for US Corporate BBB Option-Adjusted Spread. from United States. Source: Bank of America Merrill Lynch. Tr…
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Graph and download economic data for ICE BofA Asia Emerging Markets Corporate Plus Index Option-Adjusted Spread (BAMLEMRACRPIASIAOAS) from 1998-12-31 to 2025-10-01 about Asia, sub-index, emerging markets, option-adjusted spread, corporate, and USA.
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United States - ICE BofA US Corporate Index Effective Yield was 4.77% in October of 2025, according to the United States Federal Reserve. Historically, United States - ICE BofA US Corporate Index Effective Yield reached a record high of 9.32 in October of 2008 and a record low of 1.79 in December of 2020. Trading Economics provides the current actual value, an historical data chart and related indicators for United States - ICE BofA US Corporate Index Effective Yield - last updated from the United States Federal Reserve on October of 2025.
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Graph and download economic data for ICE BofA AA US Corporate Index Option-Adjusted Spread (BAMLC0A2CAA) from 1996-12-31 to 2025-10-02 about AA, option-adjusted spread, corporate, and USA.
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Index Time Series for iShares U.S. IG Corporate Bond Index ETF. The frequency of the observation is daily. Moving average series are also typically included. NA
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Thailand Corp Bond: Investment Grade: BBB Above: Total Return Index data was reported at 228.160 Point in 2017. This records an increase from the previous number of 219.740 Point for 2016. Thailand Corp Bond: Investment Grade: BBB Above: Total Return Index data is updated yearly, averaging 161.140 Point from Dec 2001 (Median) to 2017, with 17 observations. The data reached an all-time high of 228.160 Point in 2017 and a record low of 103.020 Point in 2001. Thailand Corp Bond: Investment Grade: BBB Above: Total Return Index data remains active status in CEIC and is reported by Securities and Exchange Commission. The data is categorized under Global Database’s Thailand – Table TH.Z019: Debt Securities Statistics: Registered in Thai Bond Market.
At **** U.S. dollars, Switzerland has the most expensive Big Macs in the world, according to the January 2025 Big Mac index. Concurrently, the cost of a Big Mac was **** dollars in the U.S., and **** U.S. dollars in the Euro area. What is the Big Mac index? The Big Mac index, published by The Economist, is a novel way of measuring whether the market exchange rates for different countries’ currencies are overvalued or undervalued. It does this by measuring each currency against a common standard – the Big Mac hamburger sold by McDonald’s restaurants all over the world. Twice a year the Economist converts the average national price of a Big Mac into U.S. dollars using the exchange rate at that point in time. As a Big Mac is a completely standardized product across the world, the argument goes that it should have the same relative cost in every country. Differences in the cost of a Big Mac expressed as U.S. dollars therefore reflect differences in the purchasing power of each currency. Is the Big Mac index a good measure of purchasing power parity? Purchasing power parity (PPP) is the idea that items should cost the same in different countries, based on the exchange rate at that time. This relationship does not hold in practice. Factors like tax rates, wage regulations, whether components need to be imported, and the level of market competition all contribute to price variations between countries. The Big Mac index does measure this basic point – that one U.S. dollar can buy more in some countries than others. There are more accurate ways to measure differences in PPP though, which convert a larger range of products into their dollar price. Adjusting for PPP can have a massive effect on how we understand a country’s economy. The country with the largest GDP adjusted for PPP is China, but when looking at the unadjusted GDP of different countries, the U.S. has the largest economy.
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Index Time Series for Invesco 1-5 Year Laddered Investment Grade Corporate Bond Index ETF. The frequency of the observation is daily. Moving average series are also typically included.
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Graph and download economic data for ICE BofA 3-5 Year US Corporate Index Option-Adjusted Spread (BAMLC2A0C35Y) from 1996-12-31 to 2025-09-26 about 3 to 5 years, option-adjusted spread, corporate, and USA.
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Free-Cash-Flow-To-Equity Time Series for IG Group Holdings PLC. IG Group Holdings plc, a fintech company, engages in the online trading business in the United Kingdom, Ireland, the Asia-Pacific, the Middle East, the United States, Europe, and institutional and emerging markets. The company offers retail over the counter derivatives, including contracts for difference, OTC FX and options; and exchange-traded derivatives options and futures under the tastytrade. It also provides stock trading and investment services, such as share trading, smart portfolios, and ISA and SIPPs, as well as equities, exchange traded funds, and fixed income products, which include fractional shares, mutual funds, UK treasury bills, UK tax wrappers, securities lending, and proxy voting services; and cash crypto trading. In addition, the company offers content and education solutions, such as daily live programming, news and original content, and webinars and tutorials, as well as content, education, and support tools, including signals, analytics, charting applications, and proprietary insights through the Trade Live with IG and tastylive channels. Further, it engages in CFD trading, foreign exchange, and market risk management; spread betting; data distribution; software development and support services; turbo warrants issuing; financing; market maker; network and content provision; and brokerage activities. The company serves investors, customers, communities, colleagues, regulators, and suppliers. IG Group Holdings plc was founded in 1974 and is headquartered in London, the United Kingdom.
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Graph and download economic data for ICE BofA US Corporate Index Option-Adjusted Spread (BAMLC0A0CM) from 1996-12-31 to 2025-10-01 about option-adjusted spread, corporate, and USA.