Treasury note · Matured

912828YV6 · 1.5% due November 30, 2024

Original term
5-Year
Maturity
Nov 30, 2024
Coupon
1.500%
Pays
Semi-Annual
Dated
Nov 30, 2019
First coupon
May 31, 2020
Priced through
Nov 29, 2024
Analyzed through
Nov 27, 2024

Still priced, no longer analyzed. Risk numbers below are as of Nov 27, 2024, analytics stop about three months before maturity, because a security with one cashflow left does not have a meaningful yield curve exposure.

Risk, November 27, 2024

Yield to maturity
withheld
Modified duration
0.003 yr
DV01
0.0000
Convexity
0.000
Dirty price
100.683

Yield and duration are withheld this close to maturity, not missing. Inside a month a Treasury trades on settlement mechanics rather than on yield, and its price is a rounding of par, annualizing a two-day stub produces a number in the tens of percent that would be arithmetically correct and completely misleading. The price, the residual and the key rate durations below are unaffected.

Where its rate sensitivity sits

3M
6M
1Y
2Y
3Y
5Y
7Y
10Y
15Y
20Y
25Y
30Y
Sensitivity to a one basis point move at each point on the curve, in years. All of it sits at 3M. For a security with a single remaining cashflow that is the true shape, not missing data.

Against the fitted curve

Priced 5.41 cents per 100 of face cheap to the curve on that day.

Shown as a price rather than a yield. This security was close enough to maturity that annualizing is meaningless, the same reason it carries no yield to maturity above, and the same difference quoted in basis points would read as an enormous mispricing rather than the few cents it is.

Yield to maturity, 1,251 observations

0%1%2%3%4%5%6%Dec 2, 2019Nov 27, 2024Dec 2, 2019Yield to maturity1.651%Jan 14, 2020Yield to maturity1.620%Feb 26, 2020Yield to maturity1.148%Apr 7, 2020Yield to maturity0.465%May 19, 2020Yield to maturity0.318%Jun 30, 2020Yield to maturity0.254%Aug 11, 2020Yield to maturity0.236%Sep 22, 2020Yield to maturity0.217%Nov 3, 2020Yield to maturity0.309%Dec 16, 2020Yield to maturity0.267%Jan 29, 2021Yield to maturity0.292%Mar 12, 2021Yield to maturity0.546%Apr 22, 2021Yield to maturity0.476%Jun 3, 2021Yield to maturity0.469%Jul 15, 2021Yield to maturity0.499%Aug 25, 2021Yield to maturity0.513%Oct 6, 2021Yield to maturity0.567%Nov 18, 2021Yield to maturity0.841%Dec 31, 2021Yield to maturity0.943%Feb 11, 2022Yield to maturity1.684%Mar 25, 2022Yield to maturity2.520%May 6, 2022Yield to maturity2.916%Jun 17, 2022Yield to maturity3.298%Aug 1, 2022Yield to maturity2.883%Sep 12, 2022Yield to maturity3.619%Oct 24, 2022Yield to maturity4.545%Dec 6, 2022Yield to maturity4.396%Jan 19, 2023Yield to maturity4.180%Mar 2, 2023Yield to maturity5.040%Apr 12, 2023Yield to maturity4.180%May 23, 2023Yield to maturity4.645%Jul 6, 2023Yield to maturity5.374%Aug 16, 2023Yield to maturity5.341%Sep 27, 2023Yield to maturity5.486%Nov 8, 2023Yield to maturity5.348%Dec 20, 2023Yield to maturity4.968%Feb 2, 2024Yield to maturity5.014%Mar 15, 2024Yield to maturity5.261%Apr 25, 2024Yield to maturity5.386%Jun 6, 2024Yield to maturity5.365%Jul 19, 2024Yield to maturity5.404%Aug 29, 2024Yield to maturity5.006%Oct 10, 2024Yield to maturity4.927%

Price history

1,252 trading days to Nov 29, 2024

92.595.097.5100.0102.5105.0107.5Dec 2, 2019Nov 29, 2024Dec 2, 2019Close99.281Jan 14, 2020Close99.438Feb 26, 2020Close101.625Apr 7, 2020Close104.750May 19, 2020Close105.313Jun 30, 2020Close105.469Aug 11, 2020Close105.406Sep 22, 2020Close105.344Nov 3, 2020Close104.813Dec 16, 2020Close104.844Jan 29, 2021Close104.594Mar 12, 2021Close103.500Apr 22, 2021Close103.656Jun 3, 2021Close103.563Jul 15, 2021Close103.344Aug 25, 2021Close103.188Oct 6, 2021Close102.906Nov 18, 2021Close101.969Dec 31, 2021Close101.594Feb 11, 2022Close99.500Mar 25, 2022Close97.375May 6, 2022Close96.531Jun 17, 2022Close95.813Aug 1, 2022Close96.906Sep 12, 2022Close95.531Oct 24, 2022Close93.969Dec 6, 2022Close94.563Jan 19, 2023Close95.250Mar 2, 2023Close94.156Apr 12, 2023Close95.813May 23, 2023Close95.438Jul 6, 2023Close94.844Aug 16, 2023Close95.281Sep 27, 2023Close95.531Nov 8, 2023Close96.094Dec 20, 2023Close96.844Feb 2, 2024Close97.219Mar 15, 2024Close97.438Apr 25, 2024Close97.750Jun 6, 2024Close98.188Jul 19, 2024Close98.625Aug 29, 2024Close99.125Oct 10, 2024Close99.531Nov 22, 2024Close99.906Nov 29, 2024Close100.000
The most recent 20 trading days of prices for 912828YV6.
DateBidOfferClose
Nov 29, 202499.938100.000
Nov 27, 202499.93899.938
Nov 26, 202499.93899.938
Nov 25, 202499.93899.938
Nov 22, 202499.90699.906
Nov 21, 202499.90699.906
Nov 20, 202499.87599.875
Nov 19, 202499.87599.875
Nov 18, 202499.84499.844
Nov 15, 202499.84499.844
Nov 14, 202499.84499.844
Nov 13, 202499.81399.813
Nov 12, 202499.81399.813
Nov 8, 202499.81399.813
Nov 7, 202499.78199.781
Nov 6, 202499.75099.750
Nov 5, 202499.75099.750
Nov 4, 202499.75099.750
Nov 1, 202499.75099.750
Oct 31, 202499.71999.719

Prices are per 100 of face, from Treasury's own end-of-day file. A dash in the bid or offer column means none was posted that day.

Auction

A CUSIP can be auctioned more than once: Treasury reopens an existing security rather than issuing a new one, so the same bond is sold again at whatever yield the market then wants.

Auction history for 912828YV6.
Auction dateIssuedTypeOfferedAcceptedBid to coverHigh yield
Nov 26, 2019Dec 2, 2019New issue$41.0bn$44.3bn2.50x1.587%

The curve this was priced against →

Index levels before September 30, 2026 are back-tested. They were computed after the fact by applying the rules to historical data, which benefits from hindsight in the choice of rules, and an index cannot be invested in directly. Methodology v1.0 takes effect at that rebalance, when levels begin to be struck on the day; the rulebook is identical either way, and the version is published on every row.

A fitted curve is a fit, not a quote. Daily error averages 3.8 basis points across the history and reaches about 20 on the worst days, in December 2008, when the market was genuinely hard to fit one smooth curve to. Every curve page publishes its own fit error rather than burying it.

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Safe Rate™, Safe Rate Indices™ and the Safe Rate US Treasury Index™ are trademarks of Safe Rate, claimed through use in commerce and not registered. Third-party marks are the property of their owners, which are not affiliated with and do not endorse this data.

Curves are fitted from public Treasury data and carry fit error; figures are not a record of trading, and an index cannot be invested in directly. No claim of compliance with the IOSCO Principles for Financial Benchmarks is made or implied. Not investment advice, not an offer, and not a recommendation to buy or sell any security.