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Every price and yield is an indicative model estimate computed from a public Treasury
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Yield shown is yield to maturity (Treasuries are non-callable, so it equals yield to worst). 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.