Updated:
New York
, Nov 23 13:39
London
, Nov 23 18:39
Tokyo
, Nov 24 03:39
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Government Bonds
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COUPON
MATURITY
DATE
CURRENT
PRICE/YIELD
PRICE/YIELD
CHANGE
TIME
3-Month
0.000
02/17/2010
99.9 / .44
0.003
/
-.006
13:00
6-Month
0.000
05/12/2010
99.76 / .52
0
/
.002
13:00
1-Year
2.250
12/10/2010
101.46 / .83
-0.032
/
.027
13:00
2-Year
1.250
12/16/2011
99.8 / 1.35
-0.047
/
.024
13:00
3-Year
4.250
10/12/2012
107.14 / 1.68
-0.088
/
.028
13:00
4-Year
4.000
10/11/2013
107.01 / 2.10
-0.101
/
.025
13:00
5-Year
2.500
10/10/2014
100.52 / 2.39
-0.108
/
.023
13:00
6-Year
3.500
01/04/2016
104.59 / 2.67
-0.117
/
.020
13:00
7-Year
3.750
01/04/2017
105.65 / 2.86
-0.116
/
.017
13:00
8-Year
4.000
01/04/2018
106.76 / 3.05
-0.133
/
.018
13:00
9-Year
3.750
01/04/2019
104.52 / 3.17
-0.144
/
.018
13:00
10-Year
3.250
01/04/2020
99.78 / 3.27
-0.171
/
.020
13:00
15-Year
6.250
01/04/2024
127.48 / 3.71
-0.343
/
.027
13:00
20-Year
4.750
07/04/2028
109.58 / 4.01
-0.428
/
.031
13:00
30-Year
4.750
07/04/2040
113.71 / 3.97
-0.639
/
.033
13:00
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.