- Bonds
in circulation - Primary Allocations
of Gov. Bonds - Buybacks
of Gov. Bonds - Secondary market
of Gov. Bonds - Yield curves
of Gov. Bonds - Primary agents
of Gov. Bonds - Brief
description of securities
Maturity Yield Change +/- Prev. day Beginning month 1 1 day 8.2393 -0.0376 0.0416 2 1 month 8.3407 -0.0093 -0.0148 3 3 month 8.55 0.0491 -0.131 4 6 month 8.7698 0.0449 -0.3572 5 9 month 9.042 0.0283 -0.1872 6 1 year 9.1292 0.0169 -0.1916 7 2 year 9.4201 -0.0315 -0.2369 8 3 year 9.5236 -0.0334 -0.1461 9 4 year 9.614 -0.0355 -0.0659 10 5 year 9.6313 -0.0352 -0.0314 11 7 year 9.6599 -0.0348 0.0046 12 10 year 9.6935 -0.0344 0.0393 13 15 year 9.7048 -0.0342 0.0542 14 20 year 9.715 -0.0341 0.065 15 30 year 9.7354 -0.0339 0.0865 Maturity Spot rate Change +/- Prev.
dayBeginning
month1 1 day 8.1042 -0.037 0.0409 2 7 day 8.1331 -0.0315 0.0297 3 14 day 8.1669 -0.025 0.0168 4 30 day 8.2442 -0.0101 -0.0128 5 90 day 8.3604 0.0462 -0.2202 6 180 day 8.7698 0.0449 -0.3076 7 270 day 9.0104 0.0365 -0.2436 8 365 day 9.2989 0.018 -0.2387 Maturity Yield Change Prev. day Prev. year Beginning month Beginning year 1 6 month 8.1000 - (0.0288) (0.3500) (0.6057) 2 1 year 9.3800 0.1433 0.5057 0.2866 (0.2200) 3 2 year 12.0378 - 1.4909 - (1.5861) 4 5 year 13.5401 1.1254 (0.7994) 0.1333 (0.7027) 5 7 year 14.7092 0.2330 (0.6974) 0.0001 (0.6744) 6 10 year 14.4762 - (0.0466) - - Current price Volumes In New Yield curve ISIN MaturityDate Coupon % Price Allocated Buyback Outstanding New Price New % 1 AMGB3029A522 2052-10-29 9.75 - 13,458,124,000 - 13,458,124,000 101.6661257 9.732 2 AMGB20072287 2028-02-07 11 - 32,120,090,000 15,430,000,000 16,690,090,000 108.4359935 9.5795 3 AMGB1029A250 2025-10-29 11 - 42,574,200,000 6,194,780,000 36,379,420,000 103.878 9.2293 4 AMGN60294268 2026-04-29 7 - 102,941,615,000 - 102,941,615,000 97.1348876 9.3748 5 AMGB3129A504 2050-10-29 9.75 - 137,529,762,000 1,000,000,000 136,529,762,000 101.7022683 9.7279 6 AMGB20172327 2032-02-17 13 - 69,500,000,000 34,000,000,000 35,500,000,000 122.3006779 9.6671 7 AMGB1029A276 2027-10-29 10 - 50,420,000,000 4,000,000,000 46,420,000,000 102.7820048 9.5547 8 AMGN60294276 2027-04-29 9.4 - 113,841,880,000 - 113,841,880,000 101.1780859 9.5075 9 AMGN36294251 2025-04-29 9.25 - 123,938,013,000 1,000,000,000 122,938,013,000 101.5579197 9.0749 10 AMGB2029A366 2036-10-29 13 - 80,000,000,000 9,000,000,000 71,000,000,000 125.4555764 9.6988 11 AMGB1029A292 2029-10-29 9 - 166,761,459,000 19,023,000,000 147,738,459,000 98.7693984 9.6362 12 AMGN60294284 2028-04-29 9.25 - 159,685,856,000 - 159,685,856,000 100.3142995 9.5999 13 AMGN36294269 2026-04-29 9 - 152,040,849,000 - 152,040,849,000 100.7580683 9.3748 14 AMGB2029A374 2037-10-29 12.5 - 97,422,000,000 - 97,422,000,000 122.6163128 9.7011 15 AMGB1129A316 2031-10-29 8 - 215,282,620,000 2,000,000,000 213,282,620,000 92.6175328 9.6638 16 AMGN60294292 2029-04-29 8.6 - 30,105,580,000 - 30,105,580,000 97.4088667 9.6286 17 AMGN36294277 2027-04-29 8.4 - 30,007,790,000 - 30,007,790,000 98.5828599 9.5075 18 AMGB30163472 2047-03-16 13 - 125,700,405,000 6,000,000,000 119,700,405,000 133.3641605 9.7206 19 AMGB1129A332 2033-10-29 9.6 - 384,047,350,000 - 384,047,350,000 100.9485873 9.6862 20 AMGN60294250 2025-04-29 7 - 68,369,500,000 4,000,000,000 64,369,500,000 99.4229865 9.0749 Total 2,195,747,093,000 101,647,780,000 2,094,099,313,000