US basic interest rate at the end of 2026 3.5% or more: real money 63%, play money 6% 3.25%-3.49%: real money 15%, play money 12% 3.00%-3.24%: real money 6%, play money 22% 2.75%-2.99%: real money 12%, play money 16% 2.50%-2.74%: real money 11%, play money 15% 2.25%-2.49%: real money 5%, play money 7% Less than 2.25%: real money 7%, play money 11% Volume: real money 423.68511231, play money 15685.71538571 Bettors: real money 28, play money 4 Categories: Finance, Economic Indicators, United States, Interest Rates Related markets Winner of the next US Presidential Election (ID: 211457) Volume: real 2044.86415693, play 36521.10714014 Bettors: real 22, play 83 Leading (real money): Winner of the next US Presidential Election 46% Leading (play money): Winner of the next US Presidential Election 36% Will Trump be impeached in his second term? (ID: 212720) Volume: real 3007.5194239, play 137081.00274465 Bettors: real 30, play 209 Leading (real money): Will Trump be impeached in his second term? 11% Leading (play money): Will Trump be impeached in his second term? 57% Who will leave the Trump administration in 2026? (ID: 231765) Volume: real 925.24553164, play 127895.40979507 Bettors: real 65, play 85 Leading (real money): Tulsi Gabbard 86% Leading (play money): Tulsi Gabbard 97% Control of the US House of Representatives after the 2026 Elections (ID: 211468) Volume: real 1268.06728697, play 40478.30831664 Bettors: real 16, play 51 Leading (real money): Control of the US House of Representatives after the 2026 Elections 25% Leading (play money): Control of the US House of Representatives after the 2026 Elections 44% Trump to serve his full term? (ID: 198250) Volume: real 2609.78775908, play 114986.66327483 Bettors: real 39, play 211 Leading (real money): Trump to serve his full term? 93% Leading (play money): Trump to serve his full term? 74%

US basic interest rate at the end of 2026

Market Rules

This event predicts the target federal funds rate set by the Federal Open Market Committee (FOMC) for the United States at the end of 2026. The Primary Designated Source (PDS) is the Federal Reserve, using official FOMC statements and releases published on federalreserve.gov. Because the Federal Reserve typically sets a target range rather than a single rate, resolution will be based on the lower bound of the target range in effect at the end of December 31, 2026.

If the FOMC holds emergency or unscheduled meetings after its last regular meeting of the year, the markets will resolve based on the final target range in effect as of December 31, 2026, even if announced after the trading deadline. If the Federal Reserve changes how it sets or communicates the policy rate, Futuur will use the most comparable official figure to determine resolution. The markets will resolve according to the substantive policy outcome and market intent, not minor wording or formatting differences. Subsequent clarifications or revisions will not affect the resolution; if no fair determination is possible, Futuur may cancel the markets with a public explanation.

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