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German Government Bonds

 COUPONMATURITY
DATE
CURRENT
PRICE/YIELD
PRICE/YIELD
CHANGE
TIME
3-Month0.00012/09/200999.97 / .370.001 / -.00111/06
6-Month0.00004/14/201099.79 / .490.009 / -.01911/06
1-Year4.00009/10/2010102.73 / .690.016 / -.02911/06
2-Year1.25009/16/201199.95 / 1.280.051 / -.02811/06
3-Year4.25010/12/2012106.97 / 1.780.046 / -.01811/06
4-Year4.00010/11/2013106.7 / 2.200.024 / -.00711/06
5-Year2.50010/10/2014100.04 / 2.49-0.002 / .00011/06
6-Year3.25007/04/2015102.93 / 2.68-0.026 / .00511/06
7-Year4.00007/04/2016106.55 / 2.90-0.061 / .00911/06
8-Year4.25007/04/2017107.68 / 3.10-0.114 / .01611/06
9-Year4.25007/04/2018107.29 / 3.27-0.153 / .01911/06
10-Year3.50007/04/2019101.08 / 3.36-0.137 / .01711/06
15-Year6.25001/04/2024125.65 / 3.86-0.212 / .01711/06
20-Year4.75007/04/2028107.64 / 4.15-0.245 / .01811/06
30-Year4.75007/04/2040110.76 / 4.12-0.375 / .02011/06

 

European Central Bank Interest Rates

CURRENT VALUE: 1
 

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Unless indicated otherwise: intraday data is at least 15 minutes delayed; mutual fund NAVs are updated at the close of every market day; all prices are in the local currency; Time is ET.

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