PriceTodayWeekMonth6 monthsYear5 years
USD to EUR-------
JPY to EUR-------
GBP to EUR-------
CHF to EUR-------
AUD to EUR-------
CNY to EUR-------
SymbolCouponYield %Maturity datePriceYield change 1 dayPrice change 1 day
DE03MY3 months
0% - Sep 19, 2025
- % of par
-
+0.010 % of par
DE01Y1 year
0% - Jun 19, 2026
- % of par
-
+0.025 % of par
DE02Y2 years
1.70% - Jun 12, 2027
- % of par
-
−0.032 % of par
DE05Y5 years
2.40% - Apr 20, 2030
- % of par
-
−0.029 % of par
DE10Y10 years
2.50% - Feb 17, 2035
- % of par
-
−0.021 % of par
DE30Y30 years
2.90% - Aug 17, 2056
- % of par
-
+0.003 % of par
SymbolYield to maturityMaturity date
SymbolMaturity date / YTM
DB 4.8% 25
XS0460039695
9.21%
Aug 18, 2025
N
NORDLB MTN 15/25 DL
XS132307601
8.53%
Nov 18, 2025
B
Bayer US Finance II LLC 3.6% 15-JUL-2042
BAYZ4804053
8.09%
Jul 15, 2042
N
NORDLB MTN 15/25 DL
XS132307695
7.85%
Nov 19, 2025
SymbolYield to maturityMaturity date
SymbolMaturity date / YTM
B
BayerLB 6,1% 28/04/2031
XS1400307838
7.48%
Apr 28, 2031
B
Bayer US Finance II LLC 5.5% 15-AUG-2025
BAYZ4831662
7.15%
Aug 15, 2025
B
Bayer US Finance II LLC 4.7% 15-JUL-2064
BAYZ4663164
7.08%
Jul 15, 2064
B
Bayer US Finance II LLC 4.4% 15-JUL-2044
BAYZ4662675
7.02%
Jul 15, 2044
DB 5.1% 25
XS0460082513
6.71%
Nov 3, 2025
RWE AG NRA 15/75
XS125411975
6.55%
Jul 30, 2075