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  2. United States Treasury security - Wikipedia

    en.wikipedia.org/wiki/United_States_Treasury...

    Treasury notes (T-notes) have maturities of 2, 3, 5, 7, or 10 years, have a coupon payment every six months, and are sold in increments of $100. T-note prices are quoted on the secondary market as a percentage of the par value in thirty-seconds of a dollar. Ordinary Treasury notes pay a fixed interest rate that is set at auction.

  3. Dow closes nearly 500 points lower Thursday as investors ...

    www.aol.com/news/dow-closes-nearly-500-points...

    The 10-year Treasury yield broke below 4% for the first time since February in a sign that more investors were seeking safe-haven assets. That weak data comes a day after the Fed chose to keep ...

  4. Survey: Market pros see 10-year Treasury yield under 4% a ...

    www.aol.com/finance/survey-market-pros-see-10...

    Survey: Market pros see 10-year Treasury yield under 4% a year from now. Investment analysts surveyed by Bankrate expect Treasury yields to edge lower over the next 12 months with an interest rate ...

  5. Survey: Investment experts see 10-year Treasury yield ... - AOL

    www.aol.com/finance/survey-investment-experts...

    Bankrate’s Fourth-Quarter Market Mavens survey found that investment experts expect the 10-year Treasury yield to fall to 3.98 percent a year from now, down from 4.24 percent at the end of the ...

  6. United States federal government credit-rating downgrades

    en.wikipedia.org/wiki/United_States_federal...

    The 2011 S&P downgrade was the first time the US federal government was given a rating below AAA. S&P had announced a negative outlook on the AAA rating in April 2011. The downgrade to AA+ occurred four days after the 112th United States Congress voted to raise the debt ceiling of the federal government by means of the Budget Control Act of 2011 on August 2, 2011.

  7. Federal funds rate - Wikipedia

    en.wikipedia.org/wiki/Federal_funds_rate

    The target rate remained at 5.25% for over a year, until the Federal Reserve began lowering rates in September 2007. The last cycle of easing monetary policy through the rate was conducted from September 2007 to December 2008 as the target rate fell from 5.25% to a range of 0.00–0.25%.

  8. Survey: Market pros see 10-year Treasury yield flat one year ...

    www.aol.com/finance/survey-market-pros-see-10...

    Bankrate’s First-Quarter Market Mavens survey found that market experts see the 10-year Treasury yield at 4.18 percent a year from now, essentially flat from 4.20 percent at the end of the ...

  9. Yield curve - Wikipedia

    en.wikipedia.org/wiki/Yield_curve

    10 year minus 2 year treasury yield. In finance, the yield curve is a graph which depicts how the yields on debt instruments – such as bonds – vary as a function of their years remaining to maturity. [1] [2] Typically, the graph's horizontal or x-axis is a time line of months or years remaining to maturity, with the shortest maturity on the ...