6-Month U.S. Treasury Rate, Constant Maturity
The market yield on US Treasury Securities at 6-Month Constant maturity (quoted on an investment basis) on was %.
It compared to the previous value on .
Summary
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The 6-Month US Treasury Securities Rate at constant maturity represents yields on treasury nominal securities at a constant six-month maturity and it is based on the market bid yields on actively traded non-inflation-indexed treasury securities in the over-the-counter market. Learn more about US Treasury securities here.
Use the Chart Range controls below to explore the interactive visualization, and use the table below to explore the data further.
You can see the yield rate of other US Treasury securities at constant maturity here.
Data Source: The US Federal Reserve System.
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6-Month U.S. Treasury Rate (%)
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