30-Year Treasury

(redirected from 30 Year Bond)

30-Year Treasury

A debt security owed by the United States government for a period of 30 years. Each 30-year Treasury has a stated interest rate, which is paid semi-annually. Because the United States is seen as a very low-risk borrower, many investors see 30-year Treasury interest rates as indicative of the state of the wider bond market. Normally, the interest rate decreases with greater demand for 30-year Treasury securities and rises with lower demand. As with other U.S. Treasury securities, 30-year Treasuries are negotiable and may be traded on an exchange or over-the-counter. See also: yield, bond, treasury note, treasury bond, treasury bill.
References in periodicals archive ?
The 30 year Bond saw greater interest from European and U.
The 30 year Bond saw the majority of the allocation go to Funds (79 per cent), with additional allocations to Banks (12 per cent), Private Banks (eight per cent), and other types of investor (one per cent).
Moreover, the elimination of the 30 year bond should not interfere with the Company's hedging program.
Treasury Department's decision to stop issuing 30 year bonds.
Treasury futures contracts traded on CX: 30 year bond, 10 year note, 5 year note and 2 year note.
Treasury 30 Year Bond, NYSE Composite Average, Nasdaq Composite Average, and Amex Market Value Index and NYSE Volume.
The company added that the bond is comprised of USD500m ten year bonds and USD700m 30 year bonds maturing on 15 June 2026 and 15 June 2046, respectively.
China-based Sinochem Group Corp is planning to price around USD2bn in 10 and 30 year bonds, Dow Jones has reported, citing a source familiar with the deal.
5bn 10 year and USD500m to USD750m 30 year bonds with a combined cap of USD2bn on the Reg-S/144A issue.
Temasek Holdings Pte Limited, the Singapore government-owned investment company, has said that it will raise a combined SGD600m from 20 and 30 year bonds, Dow Jones has reported citing a term sheet.
In addition, the company has issued USD700m in 30 year bonds at a yield of 30-year Treasuries plus 1.