US Treasury Rates
US Treasury Rates are the interest rates on government debt securities issued by the U.S. Department of the Treasury. These include bills, notes, and bonds with varying maturities. They reflect the cost of borrowing for the U.S. government and are influenced by economic conditions, inflation, and Federal Reserve policies. These rates serve as benchmarks for other interest rates, affecting mortgages, loans, and investment yields. Investors monitor them to gauge economic health, inflation expectations, and risk-free returns on investment.
US Treasury Rates Statistics
3M Maturity
Current Rate: 4.4% (2025-07-29)
Mean: 2.646%
Median: 1.05%
Min: 0% (1962-01-02)
Max: 17.01% (1981-09-01)
6M Maturity
Current Rate: 4.28% (2025-07-29)
Mean: 2.764%
Median: 1.18%
Min: 0% (1962-01-02)
Max: 17.43% (1981-09-07)
1Y Maturity
Current Rate: 4.07% (2025-07-29)
Mean: 4.897%
Median: 4.945%
Min: 0.04% (2021-05-21)
Max: 17.31% (1981-09-03)
5Y Maturity
Current Rate: 3.9% (2025-07-29)
Mean: 5.512%
Median: 5.3%
Min: 0.19% (2020-08-04)
Max: 16.27% (1981-09-30)
10Y Maturity
Current Rate: 4.34% (2025-07-29)
Mean: 5.835%
Median: 5.5%
Min: 0.52% (2020-08-04)
Max: 15.84% (1981-09-30)
30Y Maturity
Current Rate: 4.86% (2025-07-29)
Mean: 4.716%
Median: 4.565%
Min: 0% (1962-01-02)
Max: 15.21% (1981-10-26)