10年期日本国债(JGB)收益率
拟合即期收益率,截至 2026-09-11
https://bondscovery.com/zh/yield-curve/jgb/10y
2.93%
1周 -3 bp1个月 +12 bp6个月 +73 bp
截至 2026-09-11,10年期日本国债(JGB)收益率为2.93% (1w -3 bp, 1m +12 bp, 6m +73 bp)。该数值由曲线10年期位置上的20只债券拟合而来,并提供历史走势、按月回溯以及附近定价的债券。
10年期收益率走势
| 10Y | 最新2026-09-11 | 1个月前2026-08-12 | 2个月前2026-07-13 | 3个月前2026-06-12 | 4个月前2026-05-14 | 5个月前2026-04-14 | 6个月前2026-03-16 |
|---|---|---|---|---|---|---|---|
| 拟合收益率 | 2.93% | 2.82% | 2.77% | 2.68% | 2.60% | 2.47% | 2.25% |
| 至今变化 | — | +12 bp | +17 bp | +25 bp | +34 bp | +46 bp | +68 bp |
这条曲线的其他期限
这条曲线的全部期限,从最短期票据到最长期债券,都在日本国债(JGB)收益率页面上。
10年期附近的债券
用于10年期拟合的、剩余期限在10年上下20%以内的35只债券中的30只。
| 发行人 | 收益率 | 剩余期限 | 票息 | ISIN |
|---|---|---|---|---|
| Japan | 2.65% | 2034-09-20 | 0.90% | JP1103761QA5 |
| Japan | 2.65% | 2034-09-20 | 1.40% | JP1201501E99 |
| Japan | 2.65% | 2034-09-20 | 2.50% | JP13001614A6 |
| Japan | 2.69% | 2034-12-20 | 1.20% | JP1103771R12 |
| Japan | 2.69% | 2034-12-20 | 1.20% | JP1201511EC7 |
| Japan | 2.69% | 2034-12-20 | 2.40% | JP1300171525 |
| Japan | 2.72% | 2035-03-20 | 1.40% | JP1103781R44 |
| Japan | 2.72% | 2035-03-20 | 1.20% | JP1201521F37 |
| Japan | 2.72% | 2035-03-20 | 2.30% | JP1300181540 |
| Japan | 2.75% | 2035-06-20 | 1.50% | JP1103791R75 |
| Japan | 2.76% | 2035-06-20 | 1.30% | JP1201531F68 |
| Japan | 2.75% | 2035-06-20 | 2.30% | JP1300191572 |
| Japan | 2.79% | 2035-09-20 | 1.70% | JP1103801RA7 |
| Japan | 2.79% | 2035-09-20 | 1.20% | JP1201541F90 |
| Japan | 2.79% | 2035-09-20 | 2.50% | JP13002015A5 |
| Japan | 2.82% | 2035-12-20 | 2.10% | JP1103811S13 |
| Japan | 2.82% | 2035-12-20 | 1.00% | JP1201551FC0 |
| Japan | 2.82% | 2035-12-20 | 2.30% | JP1300211610 |
| Japan | 2.85% | 2036-03-20 | 0.40% | JP1201561G37 |
| Japan | 2.86% | 2036-03-20 | 2.50% | JP1300221643 |
| Japan | 2.89% | 2036-06-20 | 0.20% | JP1201571G68 |
| Japan | 2.89% | 2036-06-20 | 2.50% | JP1300231675 |
| Japan | 2.92% | 2036-09-20 | 0.50% | JP1201581G90 |
| Japan | 2.92% | 2036-09-20 | 2.50% | JP13002416A5 |
| Japan | 2.96% | 2036-12-20 | 0.60% | JP1201591GC4 |
| Japan | 2.96% | 2036-12-20 | 2.30% | JP1300251715 |
| Japan | 2.99% | 2037-03-20 | 0.70% | JP1201601H38 |
| Japan | 2.99% | 2037-03-20 | 2.40% | JP1300261748 |
| Japan | 3.02% | 2037-06-20 | 0.60% | JP1201611H69 |
| Japan | 3.05% | 2037-09-20 | 0.60% | JP1201621H91 |