3m
US 3-month T-bill
3.91%
As of 11 September 2026 · intraday · CBOE / Yahoo Finance (^IRX)
Official benchmark yields first. Then estimated bond lines you can save to a watchlist. Articles stay free.
Live government yields
Live / official prints
3m
3.91%
As of 11 September 2026 · intraday · CBOE / Yahoo Finance (^IRX)
5y
4.79%
As of 11 September 2026 · intraday · CBOE / Yahoo Finance (^FVX)
10y
4.97%
As of 11 September 2026 · intraday · CBOE / Yahoo Finance (^TNX)
30y
5.35%
As of 11 September 2026 · intraday · CBOE / Yahoo Finance (^TYX)
10y
5.25%
As of 9 September 2026 · daily · Bank of England IUDMNZC
10y
3.19%
As of August 2026 · monthly · ECB IRS long-term rate
10y
3.99%
As of August 2026 · monthly · ECB IRS long-term rate
10y
4.00%
As of August 2026 · monthly · ECB IRS long-term rate
10y
3.50%
As of 10 September 2026 · daily · ECB AAA yield curve
Refreshed 12 September 2026 (cached up to five minutes). Not a broker quote. ISIN prices (except exact benchmark maps) are estimated from a parallel yield shift, not a dealer quote.
UK Gilts
UK Treasury 4.125% 2027Gilt · GB00BLPK7110
UK Gilts
UK Treasury 0.875% 2029Gilt · GB00BJMHB534
UK Gilts
UK Treasury 4.75% 2030Gilt · GB00B24FF097
UK Gilts
UK Treasury 4.25% 2034Gilt · GB00B52WS153
UK Gilts
UK Treasury 4.75% 2038Gilt · GB00B00NY175
UK Gilts
UK Treasury 4.25% 2046Gilt · GB00B128DH60
UK Gilts
UK Treasury 0.5% 2061Gilt · GB00B6RNH572
UK Gilts
UK Index-linked 0.125% 2030Index-linked gilt · inflation-linked · GB00B85SFQ54
UK Gilts
UK Green Gilt 0.875% 2033Green gilt · green · GB00BN65R313
US Treasuries
US Treasury Bill 3-monthT-Bill · US912797FM22
US Treasuries
US Treasury 2-year NoteT-Note · US91282CJL62
US Treasuries
US Treasury 5-year NoteT-Note · US91282CJM46
US Treasuries
US Treasury 10-year NoteT-Note · US91282CJN29
US Treasuries
US Treasury 30-year BondT-Bond · US912810TW33
US Treasuries
US TIPS 10-yearTIPS · inflation-linked · US91282CJP76
German Bunds
German Schatz 2-yearSchatz · DE0001102622
German Bunds
German Bobl 5-yearBobl · DE0001141869
German Bunds
German Bund 10-yearBund · DE0001102624
German Bunds
German Bund 30-yearBund · DE0001102616
Italian BTPs
Italian BOT 12-monthBOT · IT0005632101
Italian BTPs
BTP 5-yearBTP · IT0005584815
Italian BTPs
BTP 10-yearBTP · IT0005518128
Italian BTPs
BTP 30-yearBTP · IT0005436339
Italian BTPs
BTP ItaliaBTP Italia · inflation-linked · IT0005611501
Italian BTPs
BTP ValoreBTP Valore · IT0005565400
French OATs
French OAT 10-yearOAT · FR001400QMF0
French OATs
French OAT 30-yearOAT · FR0014002JM6
Swiss Confederation
Swiss Confederation 10-yearEidgenoss · CH0127181123
Swiss Confederation
Swiss Confederation 20-yearEidgenoss · CH0224396982
| Market | Bond | Yield | Price | Coupon | Maturity | Duration | CCY | |
|---|---|---|---|---|---|---|---|---|
| UK Gilts | UK Treasury 4.125% 2027 Gilt | 4.95% | £100.39 | 4.13% | 2027-01-22 | 0.4y | GBP | |
| UK Gilts | UK Treasury 0.875% 2029 Gilt | 5.01% | £88.29 | 0.88% | 2029-10-22 | 3.1y | GBP | |
| UK Gilts | UK Treasury 4.75% 2030 Gilt | 5.08% | £99.25 | 4.75% | 2030-12-07 | 3.9y | GBP | |
| UK Gilts | UK Treasury 4.25% 2034 Gilt | 5.25% | £93.69 | 4.25% | 2034-03-07 | 6.4y | GBP | |
| UK Gilts | UK Treasury 4.75% 2038 Gilt | 5.44% | £93.34 | 4.75% | 2038-12-07 | 9.2y | GBP | |
| UK Gilts | UK Treasury 4.25% 2046 Gilt | 5.61% | £82.71 | 4.25% | 2046-12-07 | 13.1y | GBP | |
| UK Gilts | UK Treasury 0.5% 2061 Gilt | 5.75% | £28.60 | 0.50% | 2061-10-22 | 24.8y | GBP | |
| UK Gilts | UK Index-linked 0.125% 2030 Index-linked gilt · inflation-linked | 1.18% | £96.83 | 0.13% | 2030-03-22 | 3.6y | GBP | |
| UK Gilts | UK Green Gilt 0.875% 2033 Green gilt · green | 5.21% | £75.74 | 0.88% | 2033-07-31 | 6.2y | GBP | |
| US Treasuries | US Treasury Bill 3-month T-Bill | 3.91% | $99.02 | 0.00% | 2026-12-10 | 0.2y | USD | |
| US Treasuries | US Treasury 2-year Note T-Note | 4.79% | $98.47 | 4.00% | 2028-08-31 | 1.9y | USD | |
| US Treasuries | US Treasury 5-year Note T-Note | 4.79% | $95.86 | 3.88% | 2031-08-31 | 4.5y | USD | |
| US Treasuries | US Treasury 10-year Note T-Note | 4.97% | $91.91 | 4.00% | 2036-08-15 | 8.2y | USD | |
| US Treasuries | US Treasury 30-year Bond T-Bond | 5.35% | $81.31 | 4.25% | 2056-08-15 | 17.4y | USD | |
| US Treasuries | US TIPS 10-year TIPS · inflation-linked | 1.85% | $94.08 | 1.13% | 2036-07-15 | 8.6y | USD | |
| German Bunds | German Schatz 2-year Schatz | 2.75% | €98.96 | 2.20% | 2028-09-14 | 1.9y | EUR | |
| German Bunds | German Bobl 5-year Bobl | 2.88% | €96.37 | 2.10% | 2031-04-11 | 4.6y | EUR | |
| German Bunds | German Bund 10-year Bund | 3.19% | €94.12 | 2.50% | 2036-08-15 | 8.6y | EUR | |
| German Bunds | German Bund 30-year Bund | 3.63% | €78.99 | 2.50% | 2056-08-15 | 19.8y | EUR | |
| Italian BTPs | Italian BOT 12-month BOT | 3.06% | €97.01 | 0.00% | 2027-09-14 | 1.0y | EUR | |
| Italian BTPs | BTP 5-year BTP | 3.56% | €99.29 | 3.40% | 2031-04-01 | 4.5y | EUR | |
| Italian BTPs | BTP 10-year BTP | 3.99% | €96.09 | 3.50% | 2036-03-01 | 8.1y | EUR | |
| Italian BTPs | BTP 30-year BTP | 4.63% | €72.61 | 2.80% | 2051-09-01 | 16.9y | EUR | |
| Italian BTPs | BTP Italia BTP Italia · inflation-linked | 1.53% | €100.46 | 1.60% | 2030-05-28 | 3.6y | EUR | |
| Italian BTPs | BTP Valore BTP Valore | 3.63% | €98.57 | 3.25% | 2030-10-10 | 3.8y | EUR | |
| French OATs | French OAT 10-year OAT | 4.00% | €89.84 | 2.75% | 2036-05-25 | 8.3y | EUR | |
| French OATs | French OAT 30-year OAT | 4.54% | €52.37 | 1.50% | 2056-05-25 | 19.1y | EUR | |
| Swiss Confederation | Swiss Confederation 10-year Eidgenoss | 0.42% | CHF 100.70 | 0.50% | 2036-06-28 | 9.4y | CHF | |
| Swiss Confederation | Swiss Confederation 20-year Eidgenoss | 0.68% | CHF 110.40 | 1.25% | 2046-06-28 | 16.2y | CHF |