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US 3-Year Treasury Yield

Daily par yield curve rates, derived from indicative bid-side quotations of recently auctioned Treasury securities obtained in the afternoon of each business day.

Latest value

4.96%

Date
1 day
+5 bp
Source
home.treasury.gov

Changes

US 3-Year Treasury Yield: change in basis points against earlier stored values
PeriodChangeCompared with
1 day+5 bp4.91% · 1 Oct 2026
1 week+2 bp4.94% · 25 Sept 2026
1 month+51 bp4.45% · 2 Sept 2026
Year to date+141 bp3.55% · 31 Dec 2025
1 year+140 bp3.56% · 2 Oct 2025

1-year range: Low 3.39% (27 Feb 2026) · high 5.01% (28 Sept 2026)

1Y change

+140 bp

Oct 1, 2025 – Oct 2, 2026 · Reference: Period start

US 3Y · 1Y · % · 252 observations (daily). Oct 1, 2025 — Oct 2, 2026. First / last value: 3.56% / 4.96%.

Official end-of-day values; days without a published value are not drawn.

Show last 20 observations in a table
US 3Y 1Y %
DateYield (%)
Sep 4, 20264.45%
Sep 8, 20264.44%
Sep 9, 20264.49%
Sep 10, 20264.63%
Sep 11, 20264.69%
Sep 14, 20264.73%
Sep 15, 20264.76%
Sep 16, 20264.82%
Sep 17, 20264.75%
Sep 18, 20264.83%
Sep 21, 20264.82%
Sep 22, 20264.81%
Sep 23, 20264.97%
Sep 24, 20264.99%
Sep 25, 20264.94%
Sep 28, 20265.01%
Sep 29, 20264.98%
Sep 30, 20265.00%
Oct 1, 20264.91%
Oct 2, 20264.96%

About this series

US 3-Year Treasury Yield: the value as published by U.S. Department of the Treasury (home.treasury.gov). Stored history from 4 Jan 2016.

Each value is stored exactly as the source published it, in percent per annum. A day without a published value, such as a weekend or a holiday, has no value: nothing is filled in, carried forward or interpolated.

For general information only; not investment advice.