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| | COUPON | MATURITY DATE | CURRENT PRICE/YIELD | PRICE/YIELD CHANGE | TIME |
| 3-Month | 0.000 | 06/17/2010 | 0.14
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.15 | -0.001 / -.001 | 11:19 |
| 6-Month | 0.000 | 09/16/2010 | 0.23
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.23 | 0.005 / .005 | 11:09 |
| 12-Month | 0.000 | 03/10/2011 | 0.37
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.38 | 0.01 / .010 | 11:35 |
| 2-Year | 0.875 | 02/29/2012 | 99-27
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.96 | -0-02+ / .041 | 11:33 |
| 3-Year | 1.375 | 03/15/2013 | 99-19+
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1.51 | -0-04 / .043 | 11:36 |
| 5-Year | 2.375 | 02/28/2015 | 99-27+
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2.41 | -0-06+ / .044 | 11:36 |
| 7-Year | 3.000 | 02/28/2017 | 99-07
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3.13 | -0-09 / .045 | 11:38 |
| 10-Year | 3.625 | 02/15/2020 | 99-19+
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3.67 | -0-09½ / .036 | 11:38 |
| 30-Year | 4.625 | 02/15/2040 | 100-19
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4.59 | -0-11½ / .022 | 11:38 |
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| Inflation Indexed Treasury |
| | COUPON | MATURITY DATE | CURRENT PRICE/YIELD | PRICE/YIELD CHANGE | TIME |
| 5-Year | 1.250 | 04/15/2014 | 104-05
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.22 | -0-10 / .076 | 11:38 |
| 10-Year | 1.375 | 01/15/2020 | 99-18
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1.42 | -0-14 / .050 | 11:38 |
| 20-Year | 2.500 | 01/15/2029 | 106-31
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2.05 | -0-13 / .026 | 11:38 |
| 30-Year | 2.125 | 02/15/2040 | 101-04
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2.07 | -0-11 / .016 | 11:38 |
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National Municipal Bond Yields: Triple-A rated, Tax-Exempt General Obligation Bonds |
| | CURRENT YIELD | PREVIOUS YIELD | CHANGE IN YIELD | 28% EQ YIELD | 1 WEEK PRIOR YIELD | 1 MONTH PRIOR YIELD | 6 MONTH PRIOR YIELD |
| 2-Year | 0.57% | 0.57% | 0.00% | 0.79% | 0.53% | 0.57% | 0.82% |
| 5-Year | 1.44% | 1.43% | 0.01% | 2.00% | 1.45% | 1.55% | 1.82% |
| 7-Year | 2.23% | 2.22% | 0.01% | 3.10% | 2.18% | 2.25% | 2.35% |
| 10-Year | 2.99% | 2.97% | 0.02% | 4.15% | 3.01% | 3.12% | 3.11% |
| 15-Year | 3.81% | 3.80% | 0.01% | 5.29% | 3.79% | 3.79% | 3.77% |
| 20-Year | 4.09% | 4.08% | 0.01% | 5.68% | 4.08% | 4.09% | 4.08% |
| 30-Year | 4.44% | 4.44% | 0.00% | 6.17% | 4.44% | 4.45% | 4.49% |
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| Unless indicated otherwise: intraday data is at least 15 minutes delayed; mutual fund NAVs are updated at the close of every market day; all prices are in the local currency; Time is ET. |
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