MATTHEWS™ CAPITAL MARKETS RATE SHEET | SEPTEMBER

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Capital Markets Update SEPTEMBER 2021

Fixed Rate AS OF 09-01-2021 (SOURCE: BAR CHART)

3-Year Swap

0.540%

5-Year Treasury

0.795%

5-Year Swap

0.870%

7-Year Treasury

1.104%

7-Year Swap

1.110%

10-Year Treasury

1.331%

10-Year Swap

1.320%

Prime

3.25%

MultiFamily Indicative Loan Pricing FANNIE MAE DUS TIER 2 (1.25X/80%)

FREDDIE MAC SBL (1.25X/80%)

Term

UST

Spread

Rate

Term

Term

Spread

Rate

5-Year

0.76%

3.68%-4.00%

4.47%-4.80%

5-Year

0.76%

2.75%

3.51%

7-Year

1.04%

3.30%-3.56%

4.39%-4.65%

7-Year

1.04%

2.48%

3.52%

10-Year

1.25%

3.24%-3.42%

4.49%-4.67%

10-Year

1.25%

2.51%

3.76%

12-Year

1.25%

3.42%-3.57%

4.67%-4.82%

Commercial Indicative Loan Pricing

CMBS Indicative Loan Pricing

LTV

50%- 70%

LTV

65%- 75%

Terms

5, 7 and 10 Years

Terms

10 Years

Amortization

Up to 30 Years

Amortization

Up to 30 Years

I/O

On Lower Leverage

I/O

Yes

Spread

1.90%-2.75%

Spread

2.00%-3.00%

Index

UST

Index

10 year SWAP

10-Year Rate

3.15%-4.00%

10-Year Rate

3.25%-4.25%

Includes banks, credit unions, debt funds and life company lenders

Include multifamily, industrial/self-storage, office, retail and hospitality

This data is provided for reference purposes only. We do not guarantee its accuracy. These rates are based on information provided from sources we have deemed reliable. Actual rates may change once transactional elements are finalized or negotiated.

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