Unicredit SPA Bond Yields (EUR, Callable)
Fitted spot curve as of 2026-09-04
https://bondscovery.com/yield-curve/eur-corporate-banks-italy-callable-unicredit-spa
Unicredit SPA Bond Yields (EUR, Callable) as of 2026-09-04: 9Y at 4.37%, fitted curve 2Y–15Y (3.96%–8.03%), 16 bonds. Live chart, constituents and forward rates on bondScovery.
| Maturity | Fitted yield | Forward rate |
|---|---|---|
| 2Y | 3.96% | — |
| 3Y | 3.96% | 4.00% |
| 4Y | 3.96% | 4.01% |
| 5Y | 3.97% | 4.03% |
| 6Y | 3.98% | 4.10% |
| 8Y | 4.12% | 4.67% |
| 9Y | 4.37% | 6.96% |
| 15Y | 8.03% | 21.35% |
2Y, 10Y and the 10Y−2Y spread over time
Fitted 2Y and 10Y yields and their spread, sampled one build date per month. See all inverted curves today →
| Tenor | Latest2026-09-04 | 1m ago2026-08-11 | 2m ago2026-07-08 |
|---|---|---|---|
| 2Y | 3.96% | — | — |
| 10Y | — | 4.74% | 4.27% |
| 10Y − 2Y | — | — | — |
Bonds in this curve
The 17 bonds behind this curve. Greyed rows carry an older quote.
| Issuer | Yield | Maturity | Coupon | ISIN |
|---|---|---|---|---|
| Unicredit SPA | 3.94% | 2028-06-11 | 3.88% | IT0005598971 |
| Unicredit SPA | 3.90% | 2029-01-31 | 3.40% | IT0005578528 |
| Unicredit SPA | 4.02% | 2029-02-16 | 4.45% | XS2588885025 |
| Unicredit SPA | 3.49% | 2029-07-16 | 3.30% | IT0005631822 |
| Unicredit SPA | 3.64% | 2030-02-14 | 4.60% | IT0005570988 |
| Unicredit SPA | 3.59% | 2030-07-15 | 2.88% | IT0005689986 |
| Unicredit SPA | 3.98% | 2031-01-23 | 4.30% | IT0005580656 |
| Unicredit SPA | 3.64% | 2031-06-10 | 3.10% | IT0005654592 |
| Unicredit SPA | 3.94% | 2031-09-22 | 3.20% | IT0005669715 |
| Unicredit SPA | 4.00% | 2032-04-16 | 3.78% | IT0005704900 |
| Unicredit SPA | 4.08% | 2033-01-16 | 3.80% | IT0005631921 |
| Unicredit SPA | 4.11% | 2034-03-05 | 4.00% | IT0005585051 |
| Unicredit SPA | 4.28% | 2034-03-20 | 4.30% | IT0005583593 |
| Unicredit SPA | 4.32% | 2034-06-11 | 4.20% | IT0005598989 |
| Unicredit SPA | 4.20% | 2035-06-10 | 3.73% | IT0005654584 |
| Unicredit SPA | 4.28% | 2036-01-15 | 3.80% | IT0005689978 |
| Unicredit SPA | 8.04% | 2041-02-09 | 8.00% | IT0005694564 |