Finland 10-year bond yield

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Finland 10-year bond yield closed down 2.89 as of July 25, 2024 from 2.91 from the previous day, 2.89 last week and 3.02 last month.

Finland 10-year bond yield Analytics & Data




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Finland 10-year bond yield Historical Data

DateClose
2024-07-25 2.893
2024-07-24 2.905
2024-07-23 2.915
2024-07-22 2.94
2024-07-19 2.925
2024-07-18 2.89
2024-07-17 2.879
2024-07-16 2.88
2024-07-15 2.938
2024-07-12 2.959
2024-07-11 2.959
2024-07-10 2.993
2024-07-09 3.035
2024-07-08 2.977
2024-07-05 3.008
2024-07-04 3.072
2024-07-03 3.036
2024-07-02 3.085
2024-07-01 3.114
2024-06-28 3.037
2024-06-27 3.018
2024-06-26 3.013
2024-06-25 2.942
2024-06-24 2.958
2024-06-21 2.965
2024-06-20 2.978
2024-06-19 2.991
2024-06-18 2.973
2024-06-17 2.993
2024-06-14 2.978
2024-06-13 3.056
2024-06-12 3.067
2024-06-11 3.138
2024-06-10 3.175
2024-06-07 3.085
2024-06-06 3.002
2024-06-05 2.969
2024-06-04 2.996
2024-06-03 3.034
2024-05-31 3.116
2024-05-30 3.112
2024-05-29 3.143
2024-05-28 3.065
2024-05-27 2.986
2024-05-24 3.022
2024-05-23 3.031
2024-05-22 2.987
2024-05-21 2.958
2024-05-20 2.978
2024-05-17 2.965
2024-05-16 2.909
2024-05-15 2.861
2024-05-14 2.988
2024-05-13 2.972
2024-05-10 2.964
2024-05-09 2.928
2024-05-08 2.916
2024-05-07 2.886
2024-05-06 2.915
2024-05-03 2.93

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Finland 10-year bond yield Statistics

SecuritySymbolLastMomentumTrendOscillator1D%1W%1M%1Y%
Finland 10-year bond yieldFI.10Y-0.3740.090.080.53-0.01

Finland 10-year bond yield Factors

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Finland 10-year bond yield Historical Data

The MacroVar database offers free access to historical data for the Finland 10-year bond yield, dating back to 1950. This extensive dataset is readily available through MacroVar versatile platforms, including a user-friendly web interface, a robust Python API, and convenient Excel integration. By leveraging these tools, users can efficiently retrieve and analyze decades of Finland 10-year bond yield data, supporting a wide range of research, financial analysis, and decision-making processes.

What is the Finland 10-year bond yield

The Finland 10-year bond yield refers to the annual return on investment that an investor can expect to receive from a 10-year government bond issued by Finland. This yield is influenced by various factors including economic conditions, inflation rates, and market demand for Finnish government debt. A higher bond yield indicates that investors are demanding higher returns for holding Finnish bonds, which could be due to perceived risks or uncertainties in the market. Conversely, a lower bond yield suggests that investors are more confident in the stability and creditworthiness of the Finnish government, leading to lower returns on investment. Overall, the Finland 10-year bond yield is an important indicator of market sentiment and can provide insights into the country's economic health and financial stability.