Turkey 2 Years vs 3 Months Spread

GOVERNMENT BONDS • SPREAD
TURKEY 2 Years / TURKEY 3 Months
489.2 bp
648.4 bp
1 month
Last Update: 21 Dec 2024, 0:15 GMT+0

As of the latest update on 21 Dec 2024 0:15 GMT+0, the Turkey 2 Years / Turkey 3 Months Government Bond spread value is 489.2 basis points (bp), where 1 basis point equals 0.01%.

This means that the yield of Turkey 2 Years Government Bond is 4.892% greater than Turkey 3 Months Government Bond.

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Spread recent variations

Spread changed -11.4 bp during last week, +648.4 bp during last month, +315.8 bp during last year.

Current Spread is close to 6 months maximum value

If data are not all visible, swipe table left
Period Change Min Range Max
1 Week -11.4 bp
36.4 bp
Dec 17, 2024
538.8 bp
Dec 16, 2024
1 Month +648.4 bp
-345.4 bp
Nov 24, 2024
538.8 bp
Dec 16, 2024
6 Months +659.4 bp
-968.7 bp
Jul 4, 2024
538.8 bp
Dec 16, 2024
1 Year +315.8 bp
-968.7 bp
Jul 4, 2024
982.4 bp
Mar 21, 2024
Current Spread: 489.2bp
Last update 21 Dec 2024 0:15 GMT+0

Spread Chart - Historical Data

Data Source: from 6 May 2021 to 21 Dec 2024
The Turkey 2 Years / Turkey 3 Months Government Bond spread reached a maximum value of 2232.8 bp (6 November 2023) and a minimum value of -2157.9 bp (20 June 2023).

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Spread Yearly Range

Data Source: from 6 May 2021 to 21 Dec 2024

Turkey 2 Years / Turkey 3 Months Government Bond spread: historic value range for every year.

In case of domestic spread, a long term bond should grant a higher return than a shorter one.
A green candlestick means that spread variation is positive in the year.
A red candlestick means that spread variation is negative in the year.
If data are not all visible, swipe table left
Year Spread Change Min Range Max
2024
Dec 21
489.2bp -100.3bp
-968.7bp
Jul 4
982.4bp
Mar 21
2023
Dec 31
589.5bp +612.1bp
-2157.9bp
Jun 20
2232.8bp
Nov 6
2022
Dec 31
-22.6bp -301.7bp
-135.2bp
Sep 7
1180.5bp
May 17
2021
Dec 31
330.0bp +246.2bp
-64.8bp
Jul 13
553.1bp
Dec 3
Current Spread: 489.2bp.
Last update: 21 Dec 2024 0:15 GMT+0
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Build wealth
with Lazy Portfolios and Passive Investing

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