PriceTodayWeekMonth6 monthsYear5 years
USD to EUR-------
JPY to EUR-------
GBP to EUR-------
CHF to EUR-------
AUD to EUR-------
CNY to EUR-------
SymbolYieldYield change 1 dayPricePrice change 1 dayTerm to maturityMaturity date
DE03MY3 months
- -
- PCTPAR
-
3 monthsMar 19, 2025
DE01Y1 year
- -
- PCTPAR
-
1 yearNov 19, 2025
DE02Y2 years
- -
- PCTPAR
-
2 yearsDec 10, 2026
DE05Y5 years
- -
- PCTPAR
-
5 yearsOct 11, 2029
DE10Y10 years
- -
- PCTPAR
-
10 yearsAug 15, 2034
DE30Y30 years
- -
- PCTPAR
-
30 yearsAug 15, 2054
SymbolYield to maturityMaturity date
SymbolMaturity date / YTM
Z
ZF NA CAPITAL 15/25 REGS
ZFNB
9.52%
Apr 29, 2025
B
Bayer US Finance II LLC 3.6% 15-JUL-2042
BAYZ4804053
8.56%
Jul 15, 2042
B
BAY.US FI.II. 2064 144A
US7274NBH5
8.24%
Jul 15, 2064
I
IhoVerw 8% 32
US44963BAG32
8.24%
Nov 15, 2032
N
NORDLB MTN 15/25 DL
XS132307601
8.21%
Nov 18, 2025
SymbolYield to maturityMaturity date
SymbolMaturity date / YTM
I
IhoVerwaltungs 6,375% 15/05/2029 Rule 144A
US44963BAD01
8.08%
May 15, 2029
B
BAY.US FI.II. 2045 144A
US7274NBG7
7.97%
Apr 15, 2045
I
IhoVerw 7.75% 30
US44963BAF58
7.92%
Nov 15, 2030
DB 4.4% 25
XS0460014276
7.86%
Mar 24, 2025
B
Bayer US Finance II LLC 4.4% 15-JUL-2044
BAYZ4662675
7.73%
Jul 15, 2044