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International Credit Markets

Note that the instruments marked with a leading "\" are provided on a delayed basis.

Instrument Description
DE2YT German Bund 2yr
US5YT USD UST 5 YR
/US5Y1 /US 5yr T Qtr1
LIBOR03 LIBOR 3mth
LIBOR02 LIBOR 2mth
US10YT USD UST 10 YR
/UKG1 /Long Gilt Qtr1
/FYB1 /Jap Bond Qtr1
SIBOR01 SIBOR 1mth
SIBOR06 SIBOR 6mth
/US10Y1 /US 10yr T Qtr1
LIBOR12 LIBOR 12mth
/JGB1 10Yr JGB Qtr1
/CGB2 Canada Govt Bonds Q2
US30YT USD UST 30 YR
/UK3M1 /3 mth Stlg Qtr1
LIBOR01 LIBOR 1mth
SIBOR12 SIBOR 12mth
US2YT USD UST 2 YR
/US2Y1 /US 2yr T Qtr1
SIBOR02 SIBOR 2mth
SIBOR03 SIBOR 3mth
GB10YT GBP 10yr Bond Spot
/CGB1 Canada Govt Bonds Q1
LIBOR06 LIBOR 6mth
DE10YT German Bund 10yr
/US30Y1 /US 30yr T Qtr1
FR10YT French 10yr OAT