Bloomberg Anywhere Bloomberg Professional About Bloomberg
help



Government Bonds
Australia Brazil Germany Japan Hong Kong UK

U.S. Treasuries

 COUPONMATURITY
DATE
CURRENT
PRICE/YIELD
PRICE/YIELD
CHANGE
TIME
3-Month0.00005/13/20100.1 / .100.001 / .00121:00
6-Month0.00008/12/20100.17 / .170.008 / .00821:00
12-Month0.00002/10/20110.3 / .340.33 / .33521:00
2-Year0.87501/31/2012100-03+ / .82-0-03½ / .05621:23
3-Year1.37502/15/2013100-00½ / 1.37100-00½ / 1.37021:21
5-Year2.25001/31/201599-24 / 2.30-0-11½ / .07721:23
7-Year3.12501/31/2017100-10+ / 3.07-0-15 / .07521:16
10-Year3.37511/15/201997-27+ / 3.64-0-20 / .07721:20
30-Year4.37511/15/203996-24 / 4.58-1-08 / .07821:15

Inflation Indexed Treasury
 COUPONMATURITY
DATE
CURRENT
PRICE/YIELD
PRICE/YIELD
CHANGE
TIME
5-Year1.25004/15/2014104-21 / .13-0-02 / .01421:08
10-Year1.37501/15/2020100-08 / 1.35-0-10 / .03621:21
20-Year2.50001/15/2029107-24 / 2.00-0-27 / .05220:04
30-Year3.37504/15/2032124-07 / 2.02-0-31 / .04820:52
 

Municipal Bonds

National Municipal Bond Yields:
Triple-A rated, Tax-Exempt General Obligation Bonds
 CURRENT
YIELD
PREVIOUS
YIELD
CHANGE IN
YIELD
28% EQ
YIELD
1 WEEK PRIOR
YIELD
1 MONTH PRIOR
YIELD
6 MONTH PRIOR
YIELD
2-Year0.56%0.58%-0.02%0.78%0.63%0.58%0.72%
5-Year1.58%1.58%0.00%2.19%1.63%1.70%1.72%
7-Year2.27%2.29%-0.02%3.15%2.41%2.45%2.39%
10-Year3.12%3.15%-0.03%4.33%3.22%3.28%3.26%
15-Year3.80%3.80%0.00%5.28%3.86%3.86%4.01%
20-Year4.07%4.09%-0.02%5.65%4.11%4.07%4.39%
30-Year4.43%4.43%0.00%6.15%4.46%4.47%4.83%
 

As of July 1st 2009 Bloomberg L.P. will no longer be designated a Nationally Recognized Municipal Securities Information Repository (NRMSIR). The Municipal Securities Rulemaking Board (MSRB) in conjunction with the Securities and Exchange Commission is eliminating the role of the repository and forming a single central disclosure hub that will be run by the MSRB. Please visit: http://emma.msrb.org to access the new disclosure system.


Contact Information 
Muni Material Events 
 

Related News


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.