3m
US 3-month T-bill
3.91%
A 11 September 2026 · intraday · CBOE / Yahoo Finance (^IRX)
Primero las rentabilidades de referencia oficiales. Después, líneas de bonos estimadas que puede guardar en una lista de seguimiento. Los artículos siguen siendo gratuitos.
Rentabilidades soberanas en vivo
Prints en vivo / oficiales
3m
3.91%
A 11 September 2026 · intraday · CBOE / Yahoo Finance (^IRX)
5y
4.79%
A 11 September 2026 · intraday · CBOE / Yahoo Finance (^FVX)
10y
4.97%
A 11 September 2026 · intraday · CBOE / Yahoo Finance (^TNX)
30y
5.35%
A 11 September 2026 · intraday · CBOE / Yahoo Finance (^TYX)
10y
5.25%
A 9 September 2026 · daily · Bank of England IUDMNZC
10y
3.19%
A August 2026 · monthly · ECB IRS long-term rate
10y
3.99%
A August 2026 · monthly · ECB IRS long-term rate
10y
4.00%
A August 2026 · monthly · ECB IRS long-term rate
10y
3.50%
A 10 September 2026 · daily · ECB AAA yield curve
Actualizado 12 September 2026 (cached up to five minutes). No es una cotización de bróker. ISIN prices (except exact benchmark maps) are estimated from a parallel yield shift, not a dealer quote.
UK Gilts
UK Treasury 4.125% 2027Gilt · GB00BLPK7110
UK Gilts
UK Treasury 0.875% 2029Gilt · GB00BJMHB534
UK Gilts
UK Treasury 4.75% 2030Gilt · GB00B24FF097
UK Gilts
UK Treasury 4.25% 2034Gilt · GB00B52WS153
UK Gilts
UK Treasury 4.75% 2038Gilt · GB00B00NY175
UK Gilts
UK Treasury 4.25% 2046Gilt · GB00B128DH60
UK Gilts
UK Treasury 0.5% 2061Gilt · GB00B6RNH572
UK Gilts
UK Index-linked 0.125% 2030Index-linked gilt · inflation-linked · GB00B85SFQ54
UK Gilts
UK Green Gilt 0.875% 2033Green gilt · green · GB00BN65R313
US Treasuries
US Treasury Bill 3-monthT-Bill · US912797FM22
US Treasuries
US Treasury 2-year NoteT-Note · US91282CJL62
US Treasuries
US Treasury 5-year NoteT-Note · US91282CJM46
US Treasuries
US Treasury 10-year NoteT-Note · US91282CJN29
US Treasuries
US Treasury 30-year BondT-Bond · US912810TW33
US Treasuries
US TIPS 10-yearTIPS · inflation-linked · US91282CJP76
German Bunds
German Schatz 2-yearSchatz · DE0001102622
German Bunds
German Bobl 5-yearBobl · DE0001141869
German Bunds
German Bund 10-yearBund · DE0001102624
German Bunds
German Bund 30-yearBund · DE0001102616
Italian BTPs
Italian BOT 12-monthBOT · IT0005632101
Italian BTPs
BTP 5-yearBTP · IT0005584815
Italian BTPs
BTP 10-yearBTP · IT0005518128
Italian BTPs
BTP 30-yearBTP · IT0005436339
Italian BTPs
BTP ItaliaBTP Italia · inflation-linked · IT0005611501
Italian BTPs
BTP ValoreBTP Valore · IT0005565400
French OATs
French OAT 10-yearOAT · FR001400QMF0
French OATs
French OAT 30-yearOAT · FR0014002JM6
Swiss Confederation
Swiss Confederation 10-yearEidgenoss · CH0127181123
Swiss Confederation
Swiss Confederation 20-yearEidgenoss · CH0224396982
| Market | Bond | Yield | Price | Coupon | Maturity | Duration | CCY | |
|---|---|---|---|---|---|---|---|---|
| UK Gilts | UK Treasury 4.125% 2027 Gilt | 4.95% | £100.39 | 4.13% | 2027-01-22 | 0.4y | GBP | |
| UK Gilts | UK Treasury 0.875% 2029 Gilt | 5.01% | £88.29 | 0.88% | 2029-10-22 | 3.1y | GBP | |
| UK Gilts | UK Treasury 4.75% 2030 Gilt | 5.08% | £99.25 | 4.75% | 2030-12-07 | 3.9y | GBP | |
| UK Gilts | UK Treasury 4.25% 2034 Gilt | 5.25% | £93.69 | 4.25% | 2034-03-07 | 6.4y | GBP | |
| UK Gilts | UK Treasury 4.75% 2038 Gilt | 5.44% | £93.34 | 4.75% | 2038-12-07 | 9.2y | GBP | |
| UK Gilts | UK Treasury 4.25% 2046 Gilt | 5.61% | £82.71 | 4.25% | 2046-12-07 | 13.1y | GBP | |
| UK Gilts | UK Treasury 0.5% 2061 Gilt | 5.75% | £28.60 | 0.50% | 2061-10-22 | 24.8y | GBP | |
| UK Gilts | UK Index-linked 0.125% 2030 Index-linked gilt · inflation-linked | 1.18% | £96.83 | 0.13% | 2030-03-22 | 3.6y | GBP | |
| UK Gilts | UK Green Gilt 0.875% 2033 Green gilt · green | 5.21% | £75.74 | 0.88% | 2033-07-31 | 6.2y | GBP | |
| US Treasuries | US Treasury Bill 3-month T-Bill | 3.91% | $99.02 | 0.00% | 2026-12-10 | 0.2y | USD | |
| US Treasuries | US Treasury 2-year Note T-Note | 4.79% | $98.47 | 4.00% | 2028-08-31 | 1.9y | USD | |
| US Treasuries | US Treasury 5-year Note T-Note | 4.79% | $95.86 | 3.88% | 2031-08-31 | 4.5y | USD | |
| US Treasuries | US Treasury 10-year Note T-Note | 4.97% | $91.91 | 4.00% | 2036-08-15 | 8.2y | USD | |
| US Treasuries | US Treasury 30-year Bond T-Bond | 5.35% | $81.31 | 4.25% | 2056-08-15 | 17.4y | USD | |
| US Treasuries | US TIPS 10-year TIPS · inflation-linked | 1.85% | $94.08 | 1.13% | 2036-07-15 | 8.6y | USD | |
| German Bunds | German Schatz 2-year Schatz | 2.75% | €98.96 | 2.20% | 2028-09-14 | 1.9y | EUR | |
| German Bunds | German Bobl 5-year Bobl | 2.88% | €96.37 | 2.10% | 2031-04-11 | 4.6y | EUR | |
| German Bunds | German Bund 10-year Bund | 3.19% | €94.12 | 2.50% | 2036-08-15 | 8.6y | EUR | |
| German Bunds | German Bund 30-year Bund | 3.63% | €78.99 | 2.50% | 2056-08-15 | 19.8y | EUR | |
| Italian BTPs | Italian BOT 12-month BOT | 3.06% | €97.01 | 0.00% | 2027-09-14 | 1.0y | EUR | |
| Italian BTPs | BTP 5-year BTP | 3.56% | €99.29 | 3.40% | 2031-04-01 | 4.5y | EUR | |
| Italian BTPs | BTP 10-year BTP | 3.99% | €96.09 | 3.50% | 2036-03-01 | 8.1y | EUR | |
| Italian BTPs | BTP 30-year BTP | 4.63% | €72.61 | 2.80% | 2051-09-01 | 16.9y | EUR | |
| Italian BTPs | BTP Italia BTP Italia · inflation-linked | 1.53% | €100.46 | 1.60% | 2030-05-28 | 3.6y | EUR | |
| Italian BTPs | BTP Valore BTP Valore | 3.63% | €98.57 | 3.25% | 2030-10-10 | 3.8y | EUR | |
| French OATs | French OAT 10-year OAT | 4.00% | €89.84 | 2.75% | 2036-05-25 | 8.3y | EUR | |
| French OATs | French OAT 30-year OAT | 4.54% | €52.37 | 1.50% | 2056-05-25 | 19.1y | EUR | |
| Swiss Confederation | Swiss Confederation 10-year Eidgenoss | 0.42% | CHF 100.70 | 0.50% | 2036-06-28 | 9.4y | CHF | |
| Swiss Confederation | Swiss Confederation 20-year Eidgenoss | 0.68% | CHF 110.40 | 1.25% | 2046-06-28 | 16.2y | CHF |