Government bondUnited StatesU.S. Treasury
Trésor américain 3.875% échéance 2028
4.30%de rendement
Estimate: yield from the Treasury curve interpolated to the bond's remaining maturity (not a quote for the bond itself).
Overview
U.S. federal government debt security. The characteristics (coupon, maturity, CUSIP) come directly from the U.S. Treasury.
- Yield
- 4.30%Estimate: yield from the Treasury curve interpolated to the bond's remaining maturity (not a quote for the bond itself).
- Coupon
- 3.875%Annual interest paid in two installments (semiannual).
- Maturity
- March 15, 2028In 1.4 yr.
- Modified duration
- 1.37If rates rise by one point, the price falls by about 1.4%.
- Issuer
- U.S. Treasury
- Identifier (CUSIP)
- 91282CMS7
- Type
- Treasury Note
- Original term
- 3 years
- Issue date
- March 17, 2025
- Auction yield
- 3.908%
Source: U.S. Treasury, FiscalData ; Yahoo Finance (rendements du Trésor publiés par le CBOE)
Data not available
- Credit rating: not provided by our data sources.
Information provided for educational purposes only. It does not constitute investment advice or a personalized recommendation. Past performance is no guarantee of future results.