Romania 4 Years Bond - Historical Data

GOVERNMENT BOND • HISTORICAL DATA
ROMANIA - 4 Years
6.350%
 25.0 bp 1 month

As of the latest update on 21 Nov 2024 6:23 GMT+0, the Romania 4 Years Government Bond has a yield of 6.350%. This yield represents the annual return that investors can expect to receive if they hold the bond until its maturity in 4 Years.

Government bond yields are influenced by a variety of factors, including economic conditions, inflation expectations, and central bank policies.

Table of contents

The first official book of
Build wealth
with Lazy Portfolios and Passive Investing
Set your goal
Use top metrics to evaluate
Choose Bond ETFs to control risk
Join the passive investing strategy
Exclusive new asset allocations in EUR and USD

Romania 4 Years Bond - Interactive Chart

The Romania 4 Years Government Bond reached a maximum yield of 9.62% (24 October 2022) and a minimum yield of 2.02% (29 January 2021).

Available Data Source: from 16 Oct 2017 to 21 Nov 2024

Loading data
Please wait

Romania 4 Years Bond - Yield Range

Yield changed +12.0 bp during last week, +25.0 bp during last month, +16.0 bp during last year.

Current Yield reached its 1 year maximum value

If data are not all visible, swipe table left
Period Change Min Range Max
1 Week +12.0 bp
6.230 %
Nov 14, 2024
6.350 %
Nov 21, 2024
1 Month +25.0 bp
6.100 %
Oct 21, 2024
6.350 %
Nov 21, 2024
6 Months +25.0 bp
5.910 %
Jul 31, 2024
6.350 %
Nov 21, 2024
1 Year +16.0 bp
5.870 %
Apr 1, 2024
6.350 %
Nov 21, 2024
Current Yield: 6.350%
Last update 21 Nov 2024 6:23 GMT+0

Romania 4 Years Bond - Yearly Range

Romania 4 Years Government Bond: historic yield range for every year.

A green candlestick means a negative yield variation in the year.
A red candlestick means a positive yield variation in the year.

Available Data Source: from 16 Oct 2017 to 21 Nov 2024
If data are not all visible, swipe table left
Year Yield Change Min Range Max
2024
Nov 21
6.350% +23.0bp
5.870%
Apr 1
6.350%
Nov 21
2023
Dec 31
6.120% -145.0bp
6.000%
Dec 29
7.570%
Jan 2
2022
Dec 31
7.480% +299.5bp
4.485%
Jan 1
9.620%
Oct 24
2021
Dec 31
4.485% +194.0bp
2.020%
Jan 29
4.590%
Dec 12
2020
Dec 31
2.545% -129.1bp
2.545%
Dec 29
4.655%
Mar 24
2019
Dec 31
3.835% -37.5bp
3.630%
Aug 15
4.640%
Jan 26
2018
Dec 31
4.211% +55.1bp
3.164%
Apr 15
4.870%
Jun 28
2017
Dec 31
3.660% +64.0bp
2.970%
Oct 31
3.800%
Dec 3
Current Yield: 6.350%.
Last update: 21 Nov 2024 6:23 GMT+0

Romania 4 Years Bond - Spread

The Romania 4 Years Government Bond has a 6.350% yield. Click on Spread value for the historical serie.

A positive spread, marked by , means that the 4 Years Bond Yield is higher than the corresponding foreign bond. Instead, a negative spread is marked by a green circle.

Click on the values in "Current Spread" column, for the historical series of the spread.
Click on the "Compare" button, for a report with the full comparison between the two countries, with all the available data.
If data are not all visible, swipe table left
Romania 4 Years vs Current Spread Compare
Countries
vs Japan 4 Years 568.8 bp
vs Germany 4 Years 428.9 bp
vs Spain 4 Years 385.4 bp
vs France 4 Years 373.8 bp
vs Italy 4 Years 362.2 bp
vs Canada 4 Years 319.4 bp
vs Australia 4 Years 217.3 bp
vs United Kingdom 4 Years 215.8 bp
vs India 4 Years -52.7 bp

Romania 4 Years Bond - Prices

Price Simulation: bonds with a face value of 100, with different coupon rates.

The highlighted column contains prices at the current market yield. Other columns refers to hypothetical yields variations (100 bp = 1%).
If data are not all visible, swipe table left
Coupon
Rate
Bond Price at different Yields
-100 bp -50 bp -25 bp 6.350% +25 bp +50 bp +100 bp
0% 81.18 79.66 78.91 78.17 77.44 76.72 75.30
1% 84.70 83.14 82.37 81.61 80.86 80.12 78.66
3% 91.73 90.09 89.28 88.48 87.70 86.91 85.38
5% 98.77 97.04 96.20 95.36 94.53 93.71 92.10
7% 105.80 104.00 103.11 102.23 101.37 100.51 98.82
9% 112.84 110.95 110.03 109.11 108.20 107.31 105.55
The first official book of
Build wealth
with Lazy Portfolios and Passive Investing

Romania Government Bonds

If data are not all visible, swipe table left
Residual Maturity Yield Forecast
6 months 5.900%
1 year 5.970%
2 years 6.200%
3 years 6.600%
4 years 6.350%
5 years 6.640%
7 years 6.950%
10 years 7.170%