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Updated:  New York, Jul 03 22:54
London, Jul 04 03:54
Tokyo, Jul 04 11:54
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German Government Bonds

 COUPONMATURITY
DATE
CURRENT
PRICE/YIELD
PRICE/YIELD
CHANGE
TIME
3-Month0.00009/30/200999.89 / .480.002 / -.00407/03
6-Month0.00012/09/200999.76 / .560.007 / -.01307/03
1-Year4.75006/11/2010103.68 / .75-0.009 / -.00207/03
2-Year1.50006/10/2011100.5 / 1.24-0.016 / .00807/03
3-Year4.00004/13/2012106.39 / 1.62-0.032 / .00907/03
4-Year3.50004/12/2013105 / 2.10-0.065 / .01707/03
5-Year2.25004/11/201499.35 / 2.40-0.068 / .01507/03
6-Year3.25007/04/2015102.76 / 2.74-0.081 / .01407/03
7-Year4.00007/04/2016106.4 / 2.97-0.092 / .01407/03
8-Year4.25007/04/2017107.76 / 3.14-0.083 / .01107/03
9-Year4.25007/04/2018107.92 / 3.22-0.092 / .01107/03
10-Year3.50007/04/2019101.33 / 3.34-0.102 / .01207/03
15-Year6.25001/04/2024125.05 / 3.94-0.112 / .00907/03
20-Year4.75007/04/2028107.23 / 4.190.034 / -.00307/03
30-Year4.75007/04/2040110.56 / 4.140.242 / -.01307/03

 

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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