Minsky Moment
Será en Octubre
Y es posible que los ahorros estén al menos tan a salvo como en cualquier banco español 😀 . Ahí va:
Inter-bank weighted rate
Overnight
14.07
16.06
7-Day
20.09
19.91
Call money rate (1-30 days maturity)
16.71
15.90
91-day Treasury bill Annualised Yield
(Primary Market)
17.98
17.98
(Secondary Market)*
18.54/18.37
18.54/18.38
2-year Treasury bond Annualised Yield
(Primary Market)
15.16
15.16
(Secondary Market)*
15.28/15.14
15.27/15.13
3-year Treasury bond Annualised Yield
(Primary Market)
15.95
15.95
(Secondary Market)*
15.33/15.19
15.33/15.18
5-year Treasury bond Annualised Yield
(Primary Market)
15.39
15.39
(Secondary Market)*
15.35/15.20
15.34/15.22
10-year Treasury bond Annualised Yield
(Primary Market)
13.23
13.23
(Secondary Market)*
15.62/15.48
15.63/15.48
Enlace:
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Inter-bank weighted rate
Overnight
14.07
16.06
7-Day
20.09
19.91
Call money rate (1-30 days maturity)
16.71
15.90
91-day Treasury bill Annualised Yield
(Primary Market)
17.98
17.98
(Secondary Market)*
18.54/18.37
18.54/18.38
2-year Treasury bond Annualised Yield
(Primary Market)
15.16
15.16
(Secondary Market)*
15.28/15.14
15.27/15.13
3-year Treasury bond Annualised Yield
(Primary Market)
15.95
15.95
(Secondary Market)*
15.33/15.19
15.33/15.18
5-year Treasury bond Annualised Yield
(Primary Market)
15.39
15.39
(Secondary Market)*
15.35/15.20
15.34/15.22
10-year Treasury bond Annualised Yield
(Primary Market)
13.23
13.23
(Secondary Market)*
15.62/15.48
15.63/15.48
Enlace:
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