United States Treasury Yield Spread (10Y - 3M) : -0.06 (As of 2022-08-01)

Series is calculated as the spread between 10-Year Long-Term Government Bond Yields and 3-Month Interbank Rates for the country.
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Historical Data

Date Value YOY (%)
2021-07-01
1.26
+137.74%
2021-10-01
1.53
+188.68%
2021-11-01
1.51
+184.91%
2021-12-01
1.41
+166.04%
2022-01-01
1.54
+190.57%
2021-09-01
1.33
+150.94%
2022-03-01
1.61
+203.77%
2022-04-01
1.90
+258.49%
2022-05-01
1.74
+228.30%
2022-06-01
1.42
+167.92%
2022-07-01
0.48
-9.43%
2021-08-01
1.24
+133.96%
2022-08-01
-0.06
-111.32%
2022-02-01
1.58
+198.11%
Total 488
Related Item Date Value Unit 1-Year Growth 3-Year Growth 5-Year Growth 10-Year Growth
United States Treasury Yield Spread (10Y - 3M)
2022-08-01
-0.06
%
-104.84%
-44.94%
-
-
Long-Term Government Bond Yields: 10-year: Main (Including Benchmark) for United States
2022-08-01
2.90
%
+126.56%
+21.15%
+5.58%
+5.61%
3-Month Treasury Constant Maturity Rate
2022-10-03
3.31
%
+8,087.50%
+20.30%
+25.28%
+41.70%