GOVERNMENT BONDS • SPREAD
China 2 Years / China 10 Years
-63.5 bp
1.2 bp
1 month
6 Dec 2022, 3:15 GMT+0

The China 2 Years / China 10 Years Government Bond spread value is -63.5 bp (last update 6 Dec 2022 3:15 GMT+0).

Spread changed -8.7 bp during last week, -1.2 bp during last month, -26.9 bp during last year.

If data are not all visible, swipe table left
Period Change Min Range Max
1 Week -8.7 bp
-63.5 bp
Dec 6, 2022
-54.8 bp
Nov 29, 2022
1 Month -1.2 bp
-63.5 bp
Dec 6, 2022
-45.3 bp
Nov 16, 2022
6 Months -9.3 bp
-72.9 bp
Aug 4, 2022
-45.3 bp
Nov 16, 2022
1 Year -26.9 bp
-72.9 bp
Aug 4, 2022
-36.6 bp
Dec 6, 2021
Current Spread: -63.5 bp
Last update 6 Dec 2022 3:15 GMT+0

Spread Historical Data

Data Source: from 2 Mar 2015 to 6 Dec 2022
The China 2 Years / China 10 Years Government Bond spread reached a maximum value of 8.9 bp (15 June 2017) and a minimum value of -167 bp (16 June 2015).

Spread Yearly Range

Data Source: from 2 Mar 2015 to 6 Dec 2022
China 2 Years / China 10 Years Government Bond spread: historic value range for every year.
In case of domestic spread, a long term bond should grant a higher return than a shorter one.
A green candlestick means that spread variation is positive in the year.
A red candlestick means that spread variation is negative in the year.
If data are not all visible, swipe table left
Year Spread Change Min Spread Range Max
2022
Dec 6
-63.5 bp -19.5 bp
-72.9 bp
Aug 4, 2022
-44.0 bp
Jan 3, 2022
2021
Dec 31
-44.0 bp +2.3 bp
-60.8 bp
Jan 13, 2021
-33.8 bp
Mar 11, 2021
2020
Dec 31
-46.3 bp +4.4 bp
-123.1 bp
May 11, 2020
-23.6 bp
Nov 24, 2020
2019
Dec 31
-50.7 bp -13.4 bp
-62.4 bp
Apr 8, 2019
-29.6 bp
Aug 5, 2019
2018
Dec 31
-37.3 bp -28.2 bp
-67.8 bp
Aug 9, 2018
-9.1 bp
Jan 1, 2018
2017
Dec 31
-9.1 bp +17.7 bp
-56.7 bp
Feb 3, 2017
8.9 bp
Jun 15, 2017
2016
Dec 31
-26.8 bp +12.1 bp
-59.2 bp
Mar 25, 2016
-15.4 bp
Dec 25, 2016
2015
Dec 31
-38.9 bp -16.1 bp
-167.0 bp
Jun 16, 2015
-22.8 bp
Mar 2, 2015
Current Spread: -63.5 bp.
Last update: 6 Dec 2022 3:15 GMT+0

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