Natwest Group PLC Bond Yields (USD)
Fitted spot curve as of 2026-09-11
https://bondscovery.com/yield-curve/usd-corporate-banks-united-kingdom-natwest-group-plc
Natwest Group PLC Bond Yields (USD) as of 2026-09-11: 8Y at 5.71%, fitted curve 9M–8Y (4.67%–5.71%), 21 bonds. Live chart, constituents and forward rates on bondScovery.
| Maturity | Fitted yield | Forward rate |
|---|---|---|
| 9M | 4.67% | — |
| 18M | 4.81% | 4.97% |
| 2Y | 4.90% | 5.25% |
| 3Y | 5.08% | 5.54% |
| 4Y | 5.24% | 5.89% |
| 5Y | 5.39% | 6.16% |
| 7Y | 5.62% | 6.43% |
| 8Y | 5.71% | 6.63% |
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 | Latest2026-09-11 | 1m ago2026-08-12 | 2m ago2026-07-13 | 3m ago2026-06-12 | 4m ago2026-05-14 | 5m ago2026-04-14 | 6m ago2026-03-16 |
|---|---|---|---|---|---|---|---|
| 2Y | 4.90% | 4.98% | 4.78% | 4.72% | 4.60% | 4.65% | 4.14% |
| 10Y | — | — | — | — | — | 4.57% | — |
| 10Y − 2Y | — | — | — | — | — | -8 bp | — |
Bonds in this curve
The 21 bonds behind this curve.
| Issuer | Yield | Maturity | Coupon | ISIN |
|---|---|---|---|---|
| Natwest Group PLC | 4.42% | 2027-05-17 | 5.42% | US63906YAH18 |
| Natwest Group PLC | 5.03% | 2027-05-17 | 5.42% | USG6382G7N69 |
| Natwest Group PLC | 4.67% | 2028-03-21 | 4.79% | US63906YAM03 |
| Natwest Group PLC | 4.84% | 2028-03-21 | 4.79% | USG6382RGD47 |
| Natwest Group PLC | 4.79% | 2028-11-06 | 4.17% | US63906YAT55 |
| Natwest Group PLC | 4.82% | 2028-11-06 | 4.17% | USG6382RMR68 |
| Natwest Group PLC | 5.05% | 2029-03-27 | 4.65% | US63906YAV02 |
| Natwest Group PLC | 4.88% | 2029-03-27 | 4.65% | USG6382RQG67 |
| Natwest Group PLC | 5.20% | 2029-05-17 | 5.41% | USG6382G7P18 |
| Natwest Group PLC | 5.01% | 2029-05-17 | 5.41% | US63906YAJ73 |
| Natwest Group PLC | 5.28% | 2029-09-13 | 5.81% | US639057AK45 |
| Natwest Group PLC | 5.26% | 2030-03-21 | 5.02% | US63906YAP34 |
| Natwest Group PLC | 5.35% | 2030-03-21 | 5.02% | USG6382RGF94 |
| Natwest Group PLC | 5.16% | 2030-08-15 | 4.96% | US639057AS70 |
| Natwest Group PLC | 5.06% | 2030-11-06 | 4.41% | US63906YAS72 |
| Natwest Group PLC | 4.97% | 2030-11-06 | 4.41% | USG6382RMQ85 |
| Natwest Group PLC | 5.28% | 2031-03-27 | 4.89% | US63906YAU29 |
| Natwest Group PLC | 5.25% | 2031-03-27 | 4.89% | USG6382RQE10 |
| Natwest Group PLC | 5.39% | 2031-05-23 | 5.12% | US639057AV00 |
| Natwest Group PLC | 5.66% | 2034-03-02 | 6.02% | US639057AH16 |
| Natwest Group PLC | 5.75% | 2035-03-01 | 5.78% | US639057AN83 |