U.S. Treasury Securities:
* 3-month Treasury bill: 4.73%
* 6-month Treasury bill: 4.92%
* 1-year Treasury bill: 5.05%
* 2-year Treasury note: 5.20%
* 5-year Treasury note: 5.45%
* 10-year Treasury note: 5.60%
* 30-year Treasury bond: 5.75%
Corporate Bonds:
* 5-year corporate bond (Aaa-rated): 5.85%
* 10-year corporate bond (Aaa-rated): 6.00%
* 30-year corporate bond (Aaa-rated): 6.25%
Municipal Bonds:
* 5-year municipal bond (Aaa-rated): 5.05%
* 10-year municipal bond (Aaa-rated): 5.25%
* 30-year municipal bond (Aaa-rated): 5.50%
Certificates of Deposit (CDs):
* 1-year CD (national average): 4.75%
* 5-year CD (national average): 5.50%
Money Market Accounts (MMAs):
* National average: 4.50%
Please note that these interest rates are subject to change and may vary depending on the specific financial institution and the terms of the investment.