BondDesk Every bond, priced off the Treasury curve

U.S. Treasury

401 securities Maturities 2026–2056 $9.9T outstanding AAA·Govt

Single issuer, one credit. Type colour and the yield curve carry the visual weight a logo would — there is no brand on a Treasury.

Today's yield curve Jun 18, 2026 →
1M par 3.69% · spot 3.69%0.12 par 3.69% · spot 3.69%2M par 3.74% · spot 3.74%3M par 3.83% · spot 3.83%4M par 3.85% · spot 3.85%6M par 3.92% · spot 3.92%1Y par 4.00% · spot 4.00%2Y par 4.19% · spot 4.19%3Y par 4.19% · spot 4.19%5Y par 4.23% · spot 4.23%7Y par 4.34% · spot 4.36%10Y par 4.46% · spot 4.49%20Y par 4.91% · spot 5.11%30Y par 4.90% · spot 5.02% 3.443.924.404.885.36 1M2M3M4M6M1Y2Y3Y5Y7Y10Y20Y30Y

84 of 401 securities. Click a row for full detail.

TypeSecurityCouponMaturity Yield (YTW) Rating Price indic. Outstanding
Bond 19-Year 10-Month
912810SR0
1.12% May 15, 2040 4.69% AAA·Govt 63.851 $41.4B
Bond 19-Year 10-Month
912810SQ2
1.12% Aug 15, 2040 4.71% AAA·Govt 63.280 $52.2B
Bond 19-Year 10-Month
912810ST6
1.38% Nov 15, 2040 4.72% AAA·Govt 65.344 $58.4B
Bond 19-Year 10-Month
912810SW9
1.88% Feb 15, 2041 4.72% AAA·Govt 70.143 $61.2B
Bond 19-Year 10-Month
912810SY5
2.25% May 15, 2041 4.72% AAA·Govt 73.737 $59.9B
Bond 19-Year 10-Month
912810TA6
1.75% Aug 15, 2041 4.75% AAA·Govt 67.863 $57.3B
Bond 19-Year 10-Month
912810TC2
2.00% Nov 15, 2041 4.76% AAA·Govt 70.136 $47.6B
Bond 29-Year 10-Month
912810QT8
3.12% Nov 15, 2041 4.73% AAA·Govt 82.540 $30.7B
Bond 19-Year 10-Month
912810TF5
2.38% Feb 15, 2042 4.76% AAA·Govt 73.869 $41.2B
Bond 29-Year 10-Month
912810QU5
3.12% Feb 15, 2042 4.75% AAA·Govt 82.227 $31.9B
Bond 19-Year 10-Month
912810TH1
3.25% May 15, 2042 4.75% AAA·Govt 83.336 $34.6B
Bond 29-Year 10-Month
912810QW1
3.00% May 15, 2042 4.76% AAA·Govt 80.521 $30.9B
Bond 19-Year 10-Month
912810TK4
3.38% Aug 15, 2042 4.76% AAA·Govt 84.459 $29.0B
Bond 29-Year 10-Month
912810QX9
2.75% Aug 15, 2042 4.78% AAA·Govt 77.350 $29.0B
Bond 19-Year 10-Month
912810TM0
4.00% Nov 15, 2042 4.77% AAA·Govt 91.345 $28.6B
Bond 29-Year 10-Month
912810QY7
2.75% Nov 15, 2042 4.79% AAA·Govt 76.988 $29.0B
Bond 19-Year 10-Month
912810TQ1
3.88% Feb 15, 2043 4.78% AAA·Govt 89.682 $30.4B
Bond 29-Year 10-Month
912810QZ4
3.12% Feb 15, 2043 4.80% AAA·Govt 80.983 $29.0B
Bond 19-Year 10-Month
912810TS7
3.88% May 15, 2043 4.79% AAA·Govt 89.464 $29.8B
Bond 29-Year 10-Month
912810RB6
2.88% May 15, 2043 4.81% AAA·Govt 77.758 $29.0B
Bond 19-Year 10-Month
912810TU2
4.38% Aug 15, 2043 4.79% AAA·Govt 95.142 $30.7B
Bond 29-Year 10-Month
912810RC4
3.62% Aug 15, 2043 4.81% AAA·Govt 86.280 $29.0B
Bond 19-Year 10-Month
912810TW8
4.75% Nov 15, 2043 4.80% AAA·Govt 99.424 $29.2B
Bond 29-Year 10-Month
912810RD2
3.75% Nov 15, 2043 4.82% AAA·Govt 87.503 $29.0B
Bond 19-Year 10-Month
912810TZ1
4.50% Feb 15, 2044 4.81% AAA·Govt 96.278 $29.7B
Bond 29-Year 10-Month
912810RE0
3.62% Feb 15, 2044 4.83% AAA·Govt 85.755 $29.0B
Bond 19-Year 10-Month
912810UB2
4.62% May 15, 2044 4.82% AAA·Govt 97.629 $30.4B
Bond 29-Year 10-Month
912810RG5
3.38% May 15, 2044 4.85% AAA·Govt 82.469 $29.0B
Bond 19-Year 10-Month
912810UD8
4.12% Aug 15, 2044 4.85% AAA·Govt 91.357 $30.5B
Bond 29-Year 10-Month
912810RH3
3.12% Aug 15, 2044 4.87% AAA·Govt 79.126 $29.0B
Bond 19-Year 10-Month
912810UF3
4.62% Nov 15, 2044 4.85% AAA·Govt 97.302 $30.2B
Bond 29-Year 10-Month
912810RJ9
3.00% Nov 15, 2044 4.89% AAA·Govt 77.267 $29.0B
Bond 19-Year 10-Month
912810UJ5
4.75% Feb 15, 2045 4.86% AAA·Govt 98.695 $31.0B
Bond 29-Year 10-Month
912810RK6
2.50% Feb 15, 2045 4.91% AAA·Govt 70.730 $29.0B
Bond 19-Year 10-Month
912810UL0
5.00% May 15, 2045 4.86% AAA·Govt 101.685 $32.5B
Bond 29-Year 10-Month
912810RM2
3.00% May 15, 2045 4.91% AAA·Govt 76.636 $29.4B
Bond 19-Year 10-Month
912810UN6
4.88% Aug 15, 2045 4.88% AAA·Govt 99.980 $31.6B
Bond 29-Year 10-Month
912810RN0
2.88% Aug 15, 2045 4.93% AAA·Govt 74.737 $29.3B
Bond 19-Year 10-Month
912810UQ9
4.62% Nov 15, 2045 4.89% AAA·Govt 96.647 $32.2B
Bond 29-Year 10-Month
912810RP5
3.00% Nov 15, 2045 4.94% AAA·Govt 75.987 $29.1B
Bond 19-Year 10-Month
912810UT3
4.62% Feb 15, 2046 4.91% AAA·Govt 96.480 $32.3B
Bond 29-Year 10-Month
912810RQ3
2.50% Feb 15, 2046 4.97% AAA·Govt 69.263 $28.2B
Bond 19-Year 11-Month
912810UV8
5.00% May 15, 2046 4.91% AAA·Govt 101.156 $18.4B
Bond 29-Year 10-Month
912810RS9
2.50% May 15, 2046 4.98% AAA·Govt 68.912 $30.4B
Bond 29-Year 10-Month
912810RT7
2.25% Aug 15, 2046 4.99% AAA·Govt 65.404 $28.5B
Bond 29-Year 10-Month
912810RU4
2.88% Nov 15, 2046 4.97% AAA·Govt 73.338 $30.3B
Bond 29-Year 10-Month
912810RV2
3.00% Feb 15, 2047 4.96% AAA·Govt 74.808 $28.7B
Bond 29-Year 10-Month
912810RX8
3.00% May 15, 2047 4.96% AAA·Govt 74.653 $31.9B
Bond 29-Year 10-Month
912810RY6
2.75% Aug 15, 2047 4.97% AAA·Govt 71.158 $31.5B
Bond 29-Year 10-Month
912810RZ3
2.75% Nov 15, 2047 4.97% AAA·Govt 70.972 $28.8B
Bond 29-Year 10-Month
912810SA7
3.00% Feb 15, 2048 4.96% AAA·Govt 74.171 $32.0B
Bond 29-Year 10-Month
912810SC3
3.12% May 15, 2048 4.95% AAA·Govt 75.718 $35.1B
Bond 29-Year 10-Month
912810SD1
3.00% Aug 15, 2048 4.96% AAA·Govt 73.867 $35.4B
Bond 29-Year 10-Month
912810SE9
3.38% Nov 15, 2048 4.95% AAA·Govt 78.866 $38.9B
Bond 29-Year 10-Month
912810SF6
3.00% Feb 15, 2049 4.95% AAA·Govt 73.561 $39.6B
Bond 29-Year 10-Month
912810SH2
2.88% May 15, 2049 4.96% AAA·Govt 71.682 $41.5B
Bond 29-Year 10-Month
912810SJ8
2.25% Aug 15, 2049 4.97% AAA·Govt 62.786 $47.4B
Bond 29-Year 10-Month
912810SK5
2.38% Nov 15, 2049 4.97% AAA·Govt 64.337 $44.0B
Bond 29-Year 10-Month
912810SL3
2.00% Feb 15, 2050 4.98% AAA·Govt 58.846 $43.5B
Bond 29-Year 10-Month
912810SN9
1.25% May 15, 2050 5.01% AAA·Govt 47.978 $52.9B
Bond 29-Year 10-Month
912810SP4
1.38% Aug 15, 2050 5.00% AAA·Govt 49.495 $65.4B
Bond 29-Year 10-Month
912810SS8
1.62% Nov 15, 2050 4.99% AAA·Govt 52.825 $59.4B
Bond 29-Year 10-Month
912810SU3
1.88% Feb 15, 2051 4.98% AAA·Govt 56.199 $62.3B
Bond 29-Year 10-Month
912810SX7
2.38% May 15, 2051 4.96% AAA·Govt 63.245 $67.5B
Bond 29-Year 10-Month
912810SZ2
2.00% Aug 15, 2051 4.97% AAA·Govt 57.603 $65.6B
Bond 29-Year 10-Month
912810TB4
1.88% Nov 15, 2051 4.97% AAA·Govt 55.568 $64.7B
Bond 29-Year 10-Month
912810TD0
2.25% Feb 15, 2052 4.96% AAA·Govt 60.880 $60.3B
Bond 29-Year 10-Month
912810TG3
2.88% May 15, 2052 4.95% AAA·Govt 69.945 $57.5B
Bond 29-Year 10-Month
912810TJ7
3.00% Aug 15, 2052 4.94% AAA·Govt 71.668 $52.3B
Bond 29-Year 10-Month
912810TL2
4.00% Nov 15, 2052 4.92% AAA·Govt 86.457 $46.3B
Bond 29-Year 10-Month
912810TN8
3.62% Feb 15, 2053 4.93% AAA·Govt 80.784 $47.2B
Bond 29-Year 10-Month
912810TR9
3.62% May 15, 2053 4.93% AAA·Govt 80.708 $44.7B
Bond 29-Year 10-Month
912810TT5
4.12% Aug 15, 2053 4.92% AAA·Govt 88.188 $51.6B
Bond 29-Year 10-Month
912810TV0
4.75% Nov 15, 2053 4.91% AAA·Govt 97.620 $45.4B
Bond 29-Year 10-Month
912810TX6
4.25% Feb 15, 2054 4.91% AAA·Govt 89.997 $48.8B
Bond 29-Year 10-Month
912810UA4
4.62% May 15, 2054 4.91% AAA·Govt 95.701 $50.9B
Bond 29-Year 10-Month
912810UC0
4.25% Aug 15, 2054 4.91% AAA·Govt 89.929 $52.0B
Bond 29-Year 10-Month
912810UE6
4.50% Nov 15, 2054 4.91% AAA·Govt 93.742 $53.2B
Bond 29-Year 10-Month
912810UG1
4.62% Feb 15, 2055 4.91% AAA·Govt 95.660 $54.2B
Bond 29-Year 10-Month
912810UK2
4.75% May 15, 2055 4.91% AAA·Govt 97.592 $56.2B
Bond 29-Year 10-Month
912810UM8
4.75% Aug 15, 2055 4.91% AAA·Govt 97.590 $55.5B
Bond 29-Year 10-Month
912810UP1
4.62% Nov 15, 2055 4.91% AAA·Govt 95.621 $50.9B
Bond 29-Year 10-Month
912810UR7
4.75% Feb 15, 2056 4.91% AAA·Govt 97.576 $54.1B
Bond 29-Year 11-Month
912810UU0
5.00% May 15, 2056 4.90% AAA·Govt 101.513 $30.9B

Yield shown is yield to worst (= yield to maturity for non-callable Treasuries). Prices are indicative — matrix-priced off the daily par curve, not last-traded. TIPS are priced on a real-yield basis (real price/yield off the Treasury real-yield curve, marked real; CPI index ratio not applied) — sort them separately from nominal yields. FRNs are listed with terms only.