bondScovery

United Kingdom Non-Callable Banks Corporate Bond Yields (EUR)

Fitted spot curve as of 2026-07-27

https://bondscovery.com/yield-curve/eur-corporate-banks-united-kingdom-non-callable

United Kingdom Non-Callable Banks Corporate Bond Yields (EUR) as of 2026-07-27: 10Y at 4.09%, fitted curve 6M–10Y (2.98%–4.09%), 55 bonds. Live chart, constituents and forward rates on bondScovery.

View this curve live →Yield curves
3%3.5%4%4.5%3M12M2Y5Y10Y20Y30Y50Y
Fitted spot curve (solid) · forward rates (dashed) — click to open the interactive chart
MaturityFitted yieldForward rate
6M2.98%
9M3.03%3.12%
12M3.07%3.21%
18M3.16%3.35%
2Y3.25%3.52%
3Y3.42%3.76%
4Y3.58%4.04%
5Y3.71%4.26%
6Y3.83%4.42%
7Y3.93%4.52%
8Y4.00%4.48%
9Y4.04%4.36%
10Y4.09%4.60%

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

The 2-year yield is 3.25% and the 10-year 4.09%, a 10Y−2Y spread of +84 bp — positively sloped — as of 2026-07-27. The chart and table below track how they have moved.

2.5%3%3.5%4%Feb 4Apr 3May 30Jul 272Y10Y
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 →

TenorLatest2026-07-271m ago2026-06-262m ago2026-05-283m ago2026-04-284m ago2026-03-305m ago2026-02-276m ago2026-02-04
2Y3.25%3.04%3.11%3.08%3.27%2.61%2.71%
10Y4.09%3.81%3.95%4.00%4.20%3.79%3.79%
10Y − 2Y+84 bp+77 bp+84 bp+92 bp+92 bp+117 bp+108 bp
Explore the Time view live →

Yields by rating group

The same curve split by credit quality: 58 rated bonds across 2 rating bands, all maturities pooled. Median yield by band: AAA to AA- 3.29%, A+ to BBB- 3.72%.

3%3.5%4%4.5%AAA to AA-3.29%A+ to BBB-3.72%
Each dot is one bond, all maturities pooled (dimmed = older quote); the horizontal marker is the band median — click to open the interactive chart by rating group
Explore yields by rating live →

Bonds in this curve

A selection of 30 of the 58 bonds behind this curve, spread across maturities.

IssuerYieldMaturityCouponISIN
Natwest Group PLC3.20%2027-03-021.38%XS2449911143
Hsbc Holdings PLC3.19%2027-03-152.50%XS1379184473
Nationwide Building Society2.90%2027-04-282.00%XS2473346299
Lloyds Banking Group PLC2.94%2027-05-304.12%XS2628821873
Hsbc Holdings PLC2.96%2027-09-030.10%FR0013444304
Lloyds Banking Group PLC2.80%2027-09-121.50%XS1681050610
Natwest Group PLC3.23%2027-11-042.75%XS2931916972
Natwest Group PLC3.17%2028-01-134.25%XS2576255249
Yorkshire Building Society3.29%2028-07-010.50%XS2358471246
Hsbc Holdings PLC3.03%2028-09-041.38%FR0013358124
Nationwide Building Society3.38%2028-09-140.25%XS2385790667
Natwest Group PLC3.40%2029-06-303.12%XS3423992232
Nationwide Building Society3.44%2029-09-053.25%XS2525246901
Lloyds Banking Group PLC3.21%2029-09-102.75%DE000A383G15
Nationwide Building Society3.58%2030-03-033.00%XS3014215324
Lloyds Banking Group PLC3.43%2030-03-243.25%XS3032035837
Natwest Group PLC3.65%2030-09-033.00%XS3170277530
Investec Bank PLC3.85%2031-02-193.62%XS2991289203
Hsbc Holdings PLC3.63%2031-05-123.55%XS3367696047
Barclays Bank PLC3.71%2031-08-143.54%XS3069319468
Hsbc Holdings PLC3.87%2032-03-104.79%XS2597114284
Barclays Bank PLC3.85%2032-05-182.30%XS1555613519
Hsbc Holdings PLC4.03%2033-05-234.86%XS2621539910
Hsbc Holdings PLC3.98%2033-12-013.61%XS3239159034
Hsbc Holdings PLC4.03%2034-05-133.91%XS3069291782
Natwest Group PLC3.90%2034-09-033.63%XS3170277704
Natwest Group PLC3.85%2035-02-253.72%XS3009472989
Lloyds Banking Group PLC4.04%2035-05-094.00%XS3069338336
Barclays Bank PLC4.18%2036-01-313.94%XS2931242569
Natwest Group PLC4.01%2036-05-133.98%XS3069320714
See the full list of bonds →