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

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

TypeSecurityCouponMaturity Yield (YTW) Rating Price indic. Outstanding
FRN 1-Year 10-Month
91282CLA7
zero Jul 31, 2026 n/a AAA·Govt n/a $59.6B
FRN 1-Year 10-Month
91282CLT6
zero Oct 31, 2026 n/a AAA·Govt n/a $58.5B
FRN 1-Year 10-Month
91282CMJ7
zero Jan 31, 2027 n/a AAA·Govt n/a $62.5B
FRN 1-Year 10-Month
91282CMX6
zero Apr 30, 2027 n/a AAA·Govt n/a $60.0B
FRN 1-Year 10-Month
91282CNQ0
zero Jul 31, 2027 n/a AAA·Govt n/a $60.0B
FRN 1-Year 10-Month
91282CPG0
zero Oct 31, 2027 n/a AAA·Govt n/a $59.7B
FRN 1-Year 10-Month
91282CPX3
zero Jan 31, 2028 n/a AAA·Govt n/a $60.1B
FRN 1-Year 11-Month
91282CQM6
zero Apr 30, 2028 n/a AAA·Govt n/a $33.8B

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.