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- 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
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Maturity Yield Change +/- Prev. day Beginning month 1 1 day 8.2752 0.0338 0.0775 2 1 month 8.3552 0.0243 -0.0003 3 3 month 8.5202 0.0046 -0.161 4 6 month 8.7114 -0.009 -0.4156 5 9 month 8.9568 -0.022 -0.2724 6 1 year 9.0504 -0.0194 -0.2704 7 2 year 9.3798 -0.0031 -0.2772 8 3 year 9.5231 0.017 -0.1466 9 4 year 9.6493 0.0352 -0.0306 10 5 year 9.6851 0.0451 0.0224 11 7 year 9.7323 0.0552 0.077 12 10 year 9.7847 0.0655 0.1305 13 15 year 9.8039 0.0697 0.1533 14 20 year 9.8198 0.0728 0.1698 15 30 year 9.8422 0.0696 0.1933 Maturity Spot rate Change +/- Prev.
dayBeginning
month1 365 day 9.2189 -0.0193 -0.3187 2 270 day 8.927 -0.0209 -0.327 3 180 day 8.7114 -0.009 -0.366 4 90 day 8.3326 0.0051 -0.248 5 30 day 8.2592 0.0243 0.0022 6 14 day 8.1932 0.0292 0.0431 7 7 day 8.1643 0.0314 0.0609 8 1 day 8.1396 0.0333 0.0763 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 - 13,458,124,000 100.705852 9.8385 2 AMGN60294268 2026-04-29 7 - 102,941,615,000 - 102,941,615,000 97.261138 9.3267 3 AMGN60294276 2027-04-29 9.4 - 113,841,880,000 - 113,841,880,000 101.2477276 9.5 4 AMGN60294284 2028-04-29 9.25 - 159,685,856,000 - 159,685,856,000 100.2746914 9.629 5 AMGN36294269 2026-04-29 9 - 152,040,849,000 - 152,040,849,000 100.8878996 9.3267 6 AMGB2029A374 2037-10-29 12.5 - 97,422,000,000 - 97,422,000,000 121.8650156 9.7975 7 AMGN60294292 2029-04-29 8.6 - 30,105,580,000 - 30,105,580,000 97.271254 9.6793 8 AMGN36294277 2027-04-29 8.4 - 30,007,790,000 - 30,007,790,000 98.6509011 9.5 9 AMGB1129A332 2033-10-29 9.6 - 384,047,350,000 - 384,047,350,000 100.4773661 9.7732 10 AMGB3129A504 2050-10-29 9.75 - 137,529,762,000 1,000,000,000 136,529,762,000 100.760202 9.834 11 AMGN36294251 2025-04-29 9.25 - 123,938,013,000 1,000,000,000 122,938,013,000 101.6746163 8.99 12 AMGB1129A316 2031-10-29 8 - 215,282,620,000 2,000,000,000 213,282,620,000 92.302715 9.7382 13 AMGB1029A276 2027-10-29 10 - 50,420,000,000 4,000,000,000 46,420,000,000 102.8027872 9.5659 14 AMGN60294250 2025-04-29 7 - 68,369,500,000 4,000,000,000 64,369,500,000 99.5376353 8.99 15 AMGB30163472 2047-03-16 13 - 125,700,405,000 6,000,000,000 119,700,405,000 132.2495354 9.8259 16 AMGB1029A250 2025-10-29 11 - 42,574,200,000 6,194,780,000 36,379,420,000 104.013717 9.162 17 AMGB2029A366 2036-10-29 13 - 80,000,000,000 9,000,000,000 71,000,000,000 124.7380421 9.7937 18 AMGB20072287 2028-02-07 11 - 32,120,090,000 15,430,000,000 16,690,090,000 108.4274951 9.6004 19 AMGB1029A292 2029-10-29 9 - 166,761,459,000 19,023,000,000 147,738,459,000 98.5910187 9.6931 20 AMGB20172327 2032-02-17 13 - 69,500,000,000 34,000,000,000 35,500,000,000 121.9122397 9.7435 Total 2,195,747,093,000 101,647,780,000 2,094,099,313,000