Total Value of Issuers of Commercial Paper with a Maturity Between 41 and 80 Days
MKT4180MKTAMT • Economic Data from Federal Reserve Economic Data (FRED)
Latest Value
4,358.00
Year-over-Year Change
73.35%
Date Range
10/7/2021 - 8/6/2025
Summary
Measures the total value of commercial paper issues with 41-80 day maturities. Critical for understanding medium-term corporate financing trends.
Analysis & Context
This economic indicator provides valuable insights into current market conditions and economic trends. The data is updated regularly by the Federal Reserve and represents one of the most reliable sources for economic analysis.
Understanding this metric helps economists, policymakers, and investors make informed decisions about economic conditions and future trends. The interactive chart above allows you to explore historical patterns and identify key trends over time.
About This Dataset
Tracks the aggregate monetary value of commercial paper in a specific maturity range. Provides insights into corporate borrowing patterns.
Methodology
Calculated by summing the total value of commercial paper issues in the 41-80 day range.
Historical Context
Used by economists and investors to assess corporate financial strategies.
Key Facts
- Represents medium-term corporate borrowing
- Indicates corporate financial health
- Important for credit market analysis
FAQs
Q: What makes 41-80 day maturities important?
A: Represents a critical medium-term financing window for corporate cash management strategies.
Q: How do these values impact economic analysis?
A: Provides insights into corporate liquidity and short-term financing trends across different sectors.
Q: What factors influence commercial paper values?
A: Interest rates, corporate credit ratings, and overall economic conditions significantly impact these values.
Q: How do investors use this data?
A: Helps assess corporate financial strategies and potential investment opportunities in short-term debt markets.
Q: What are the limitations of this data?
A: Represents a snapshot of market conditions and may not predict long-term financial trends.
Related Trends
Number of Issues, with a Maturity Between 1 and 4 Days, Used in Calculating the AA Nonfinancial Commercial Paper Rates
NONFIN14AAVOL
Number of Commercial Paper Issues with a Maturity Between 5 and 9 Days
MKT59MKTVOL
Domestic Financial Commercial Paper Outstanding
DFINCP
Number of Issues, with a Maturity Between 41 and 80 Days, Used in Calculating the AA Asset-Backed Commercial Paper Rates
AB4180AAVOL
Dealer Placed Other Commercial Paper Outstanding
DTBSPCKPLONWW
Total Value of Issues, with a Maturity Between 21 and 40 Days, Used in Calculating the AA Nonfinancial Commercial Paper Rates
NONFIN2140AAAMT
Citation
U.S. Federal Reserve, Total Value of Commercial Paper Issues (MKT4180MKTAMT), retrieved from FRED.