SymbolPrice & chgYield
SymbolYield / Price
1 year
US01Y
3.872Disc. yield, %
+0.20%
4.041%
2 years
US02Y
99.813%
−0.03%
4.225%
5 years
US05Y
99.055%
−0.07%
4.339%
10 years
US10Y
98.156%
−0.12%
4.610%
20 years
US20Y
98.340%
−0.17%
5.134%
30 years
US30Y
98.094%
−0.14%
5.125%
SymbolPrice & chgYield
SymbolYield / Price
USA
US10Y
98.156%
−0.12%
4.610%
European Union
EU10Y
98.578%
−0.06%
3.167%
United Kingdom
GB10Y
97.911%
+0.07%
5.034%
Germany
DE10Y
98.578%
−0.06%
3.167%
France
FR10Y
97.760%
−0.02%
3.966%
Italy
IT10Y
98.703%
−0.08%
3.998%
Maturity dateAug 2, 2033
Coupon6.85% (Fixed)
Maturity dateJan 23, 2050
Coupon7.69% (Fixed)
Maturity dateJan 28, 2060
Coupon6.95% (Fixed)
Maturity dateJan 31, 2046
Coupon6.13% (Fixed)
Maturity dateSep 21, 2047
Coupon6.75% (Fixed)
Maturity dateFeb 12, 2048
Coupon6.35% (Fixed)
Maturity dateMay 24, 2049
Coupon5.25% (Fixed)
Maturity dateMay 13, 2045
Coupon5.00% (Fixed)
Maturity dateJan 15, 2040
Coupon6.63% (Fixed)
Maturity dateJan 23, 2045
Coupon6.38% (Fixed)
Maturity dateJun 22, 2047
Coupon4.70% (Fixed)

See more bonds 

SymbolYield to maturityMaturity date
SymbolMaturity date / YTM
ABN AMRO Bank N.V. 4.718% 22-JAN-2027
US00084DBG43
4.68%
Jan 22, 2027
ABN AMRO Bank N.V. 4.718% 22-JAN-2027
US00084EAL20
4.68%
Jan 22, 2027
PepsiCo, Inc. 4.4% 07-FEB-2027
PEP5999641
3.98%
Feb 7, 2027
Stryker Corporation 4.55% 10-FEB-2027
SYK5995068
4.05%
Feb 10, 2027
Societe Generale SA 5.25% 19-FEB-2027
US83368TCA43
4.37%
Feb 19, 2027