| 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 |