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RCI Banque Bond Yields (EUR)

Fitted spot curve as of 2026-09-25

https://bondscovery.com/yield-curve/eur-corporate-banks-france-rci-banque

RCI Banque Bond Yields (EUR) as of 2026-09-25: 8Y at 5.11%, fitted curve 1M–8Y (3.57%–5.11%), 19 bonds. Live chart, constituents and forward rates on bondScovery.

View this curve live →Yield curves
4%5%6%3M12M2Y5Y10Y20Y30Y50Y
Fitted spot curve (solid) · forward rates (dashed) — click to open the interactive chart
MaturityFitted yieldForward rate
1M3.57%—
3M3.60%3.62%
6M3.66%3.71%
9M3.72%3.84%
12M3.78%3.97%
18M3.92%4.36%
2Y4.06%4.36%
3Y4.36%5.00%
4Y4.63%5.51%
5Y4.83%5.77%
6Y4.97%5.80%
8Y5.11%5.64%

2Y, 10Y and the 10Y−2Y spread over time

3%3.5%4%4.5%5%Mar 27May 27Jul 26Sep 252Y10Y
2Y (dashed) and 10Y (solid) fitted yields over time — click to open the interactive Time view

Fitted 2Y and 10Y yields and their spread, sampled one build date per month. See all inverted curves today →

TenorLatest2026-09-251m ago2026-08-262m ago2026-07-273m ago2026-06-264m ago2026-05-285m ago2026-04-286m ago2026-03-30
2Y4.06%3.66%3.62%3.37%3.34%3.31%3.61%
10Y——4.82%4.58%4.73%——
10Y − 2Y——+120 bp+120 bp+139 bp——
Explore the Time view live →

Bonds in this curve

The 19 bonds behind this curve.

IssuerYieldMaturityCouponISIN
RCI Banque3.62%2026-10-024.62%FR001400KXW4
RCI Banque2.01%2027-01-151.12%FR0013476090
RCI Banque3.71%2027-04-064.50%FR001400H2O3
RCI Banque3.97%2027-07-064.75%FR001400B1L7
RCI Banque3.66%2027-10-043.75%FR001400P3D4
RCI Banque3.92%2028-01-173.50%FR001400WK95
RCI Banque3.95%2028-06-144.88%FR001400IEQ0
RCI Banque4.06%2028-09-214.88%FR001400CRG6
RCI Banque4.18%2029-01-123.88%FR001400N3F1
RCI Banque4.29%2029-07-263.38%FR001400U4M6
RCI Banque4.32%2029-10-024.88%FR001400KY69
RCI Banque4.54%2030-02-223.62%FR0014017Y03
RCI Banque4.64%2030-06-063.38%FR00140106Z3
RCI Banque4.52%2030-09-303.88%FR001400SSO4
RCI Banque4.63%2031-04-044.12%FR001400P3E2
RCI Banque4.87%2031-08-194.00%FR00140193X6
RCI Banque4.89%2032-02-163.75%FR0014015EO5
RCI Banque4.93%2032-11-033.62%FR0014013UK4
RCI Banque5.17%2034-05-234.25%FR00140173K5
See the full list of bonds →