Capital Markets

Our Capital Markets group considers our investors’ appetites for risk and focuses on delivering the best execution for our borrowers.

The team understands market dynamics and trends, and has a thorough knowledge of agency capital markets and pricing.

The graph below shows 10-year US Treasury note rates and Fannie Mae 10-year mortgage rates for multifamily assets since 2005.

10-year US Treasury Note

Fannie Mae 10-year mortgage rates

Rates


As of Thursday February 23, 2012

US TREASURY

MATURITY YIELD CHANGE
5 Year Bond 0.90% +1.99%
7 Year Bond 1.42% +1.91%
10 Year Bond 2.02% +1.65%
30 Year Bond 3.16% +1.87%

LIBOR 30-DAY   0.24450%
Market Data by Xignite