10-Year United States Corporate Bond Yield (EUR)
Fitted spot yield as of 2026-07-27
https://bondscovery.com/yield-curve/eur-corporate-united-states/10y
4.19%
1 week +3 bp1 month +28 bp6 months +34 bp
The 10-year United States Corporate yield is 4.19% as of 2026-07-27 (1w +3 bp, 1m +28 bp, 6m +34 bp). Fitted from 24 bonds at the 10-year point of the curve, with history, monthly look-back and the bonds priced around it.
10-year yield over time
| 10Y | Latest2026-07-27 | 1m ago2026-06-26 | 2m ago2026-05-28 | 3m ago2026-04-28 | 4m ago2026-03-30 | 5m ago2026-02-27 | 6m ago2026-01-28 |
|---|---|---|---|---|---|---|---|
| Fitted yield | 4.19% | 3.91% | 4.03% | 4.05% | 4.16% | 3.73% | 3.87% |
| Move to today | — | +28 bp | +16 bp | +14 bp | +2 bp | +45 bp | +32 bp |
Other maturities on this curve
Every maturity on this curve, from the shortest bill to the longest bond, is on the United States Corporate Bond Yields (EUR) page.
Bonds around the 10-year mark
30 of the 45 bonds maturing within 20% of 10 years that the 10-year fit is drawn from.
| Issuer | Yield | Maturity | Coupon | ISIN |
|---|---|---|---|---|
| Prologis International Funding II S.A. | 4.10% | 2034-10-07 | 3.70% | XS2908897742 |
| Merck & CO INC | 3.54% | 2034-10-15 | 2.50% | XS1028941893 |
| W.P. Carey Inc. | 4.30% | 2034-11-19 | 3.70% | XS2941598786 |
| Thermo Fisher Scientific INC | 3.73% | 2034-11-21 | 3.65% | XS2557526345 |
| National Grid North America INC | 4.10% | 2034-11-25 | 3.72% | XS2947149444 |
| Goldman Sachs Group INC | 4.31% | 2035-01-17 | 4.00% | XS2829741698 |
| T-Mobile USA INC | 4.06% | 2035-02-19 | 3.62% | XS3298843924 |
| Prologis International Funding II S.A. | 4.19% | 2035-02-21 | 4.62% | XS2589820294 |
| AIR Products & Chemicals INC | 3.96% | 2035-03-03 | 4.00% | XS2595036554 |
| Mcdonald's Corp | 3.95% | 2035-03-07 | 4.25% | XS2595417945 |
| AT&T INC | 4.09% | 2035-03-15 | 2.45% | XS1196380031 |
| Morgan Stanley | 4.02% | 2035-03-21 | 3.96% | XS2790333889 |
| National Grid North America INC | 4.16% | 2035-06-03 | 3.92% | XS3086253112 |
| Liberty Mutual Group INC | 4.30% | 2035-09-26 | 3.88% | XS3185662163 |
| Jpmorgan Chase & CO | 3.97% | 2036-01-23 | 3.59% | XS2986317506 |
| Verizon Communications | 4.22% | 2036-02-28 | 3.75% | XS2770514946 |
| Booking Holdings INC | 4.21% | 2036-03-01 | 3.75% | XS2776512035 |
| Philip Morris International INC | 3.98% | 2036-05-09 | 2.00% | XS1408421763 |
| Morgan Stanley | 4.08% | 2036-05-22 | 4.10% | XS3057365465 |
| Prologis International Funding II S.A. | 4.26% | 2036-07-01 | 4.38% | XS2847688251 |
| Wells Fargo & Company | 4.06% | 2036-07-23 | 3.87% | XS3127997669 |
| National Grid North America INC | 4.26% | 2036-09-03 | 4.06% | XS2894931588 |
| Comcast Corp | 4.25% | 2036-09-26 | 3.55% | XS2909746401 |
| Morgan Stanley | 4.19% | 2036-11-07 | 3.75% | XS3215634901 |
| Goldman Sachs Group INC | 4.19% | 2036-12-18 | 3.98% | XS3255333315 |
| Carrier Global Corp | 4.21% | 2037-01-15 | 3.62% | XS3130166849 |
| Morgan Stanley | 4.26% | 2037-01-23 | 3.98% | XS3281048572 |
| Emerson Electric CO | 4.03% | 2037-03-15 | 3.50% | XS3007570495 |
| National Grid North America INC | 4.32% | 2037-04-15 | 4.27% | XS3441768093 |
| AT&T INC | 4.34% | 2037-06-01 | 4.05% | XS3037678862 |