Treasury Inflation-Protected Securities (TIPS) Search Results

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Maturity Date: 10/2009 to
12/2099
Moody's Rating: All to All
S&P Rating: All to All
Call Protection: All
Sinking Fund Protection: All
Bond Tier: All
As of 07/30/2010 at 02:08 a.m. 

Total Offerings Found: 24

 
    Description Coupon Maturity Date sort down Rating Price Bid Ask Yield Bid Ask Inflation
Factor
Adjusted Price
Bid
Ask
Yield Type Attributes
Moody's S&P
 1 Trade UNITED STATES TREAS NTS 2.000% 01/15/2014 TIPS 2.000 01/15/2014 AAA AAA 106.476
106.836
0.123
0.022
1.18072 125.718342
126.143401
M CP  T1 
 2 Trade UNITED STATES TREAS TIPS 2.000% 07/15/2014 2.000 07/15/2014 AAA AAA 107.148
107.391
0.187
0.127
1.15740 124.013095
124.294343
M CP  T1 
 3 Trade UNITED STATES TREAS NTS TIPS 1.625% 01/15/2015 1.625 01/15/2015 AAA AAA 105.359
105.781
0.411
0.318
1.14256 120.378979
120.861139
M CP  T1 
 4 Trade UNITED STATES TREAS NTS 0.50000% 04/15/2015TIPS 0.500 04/15/2015 AAA AAA 101.378
101.738
0.206
0.129
1.00671 102.058246
102.420661
M CP  T1 
 5 Trade UNITED STATES TREAS NTS TIPS 1.875% 07/15/2015 1.875 07/15/2015 AAA AAA 107.195
107.422
0.408
0.363
1.12163 120.233127
120.487737
M CP  T1 
 6 Trade UNITED STATES TREAS NTS TIPS 2.000% 01/15/2016 2.000 01/15/2016 AAA AAA 107.773
108.000
0.553
0.512
1.09920 118.464081
118.713600
M CP  T1 
 7 Trade UNITED STATES TREAS NTS 2.50000% 07/15/2016TIPS 2.500 07/15/2016 AAA AAA 111.195
111.438
0.586
0.546
1.08029 120.122846
120.385357
M CP  T1 
 8 Trade UNITED STATES TREAS NTS 2.37500% 01/15/2017TIPS 2.375 01/15/2017 AAA AAA 110.031
110.336
0.780
0.733
1.08183 119.034836
119.364794
M CP  T1 
 9 Trade UNITED STATES TREAS NTS 2.62500% 07/15/2017TIPS 2.625 07/15/2017 AAA AAA 112.546
112.820
0.770
0.732
1.05264 118.470421
118.758844
M CP  T1 
 10 Trade UNITED STATES TREAS NTS 1.62500% 01/15/2018TIPS 1.625 01/15/2018 AAA AAA 105.210
105.484
0.901
0.864
1.04139 109.564641
109.849982
M CP  T1 
 11 Trade UNITED STATES TREAS NTS 1.37500% 07/15/2018TIPS 1.375 07/15/2018 AAA AAA 103.429
103.742
0.927
0.886
1.01172 104.641187
104.957856
M CP  T1 
 12 Trade UNITED STATES TREAS NTS 2.12500% 01/15/2019TIPS 2.125 01/15/2019 AAA AAA 108.750
109.055
1.042
1.005
1.01615 110.506312
110.816238
M CP  T1 
 13 Trade UNITED STATES TREAS NTS 01.87500% 07/15/2019TIPS 1.875 07/15/2019 AAA AAA 106.742
107.055
1.083
1.047
1.02177 109.065773
109.385587
M CP  T1 
 14 Trade UNITED STATES TREAS NTS 1.37500% 01/15/2020TIPS 1.375 01/15/2020 AAA AAA 101.984
102.383
1.153
1.108
1.00888 102.889617
103.292161
M CP  T1 
 15 Trade UNITED STATES TREAS NTS 1.25000% 07/15/2020TIPS 1.250 07/15/2020 AAA AAA 100.460
100.852
1.201
1.159
1.00037 100.497170
100.889315
M CP  T1 
 16 Trade UNITED STATES TREAS BDS TIPS 2.375% 01/15/2025 2.375 01/15/2025 AAA AAA 108.984
109.453
1.673
1.638
1.15740 126.138081
126.680902
M CP  T1 
 17 Trade US TREAS INFLATION INDX 2.000% 01/15/2026 TIPS 2.000 01/15/2026 AAA AAA 103.585
104.063
1.735
1.700
1.09920 113.860632
114.386049
M CP  T1 
 18 Trade UNITED STATES TREAS BDS 2.37500% 01/15/2027TIPS 2.375 01/15/2027 AAA AAA 108.343
109.242
1.788
1.727
1.08183 117.208707
118.181272
M CP  T1 
 19 Trade UNITED STATES TREAS BDS 1.75000% 01/15/2028TIPS 1.750 01/15/2028 AAA AAA 99.031
99.539
1.815
1.780
1.04139 103.129893
103.658919
M CP  T1 
 20 Trade UNITED STATES TREAS BDS TIPS 3.625% 04/15/2028 3.625 04/15/2028 AAA AAA 126.343
127.055
1.871
1.829
1.34888 170.421545
171.381948
M CP  T1 
 21 Trade UNITED STATES TREAS BDS 2.50000% 01/15/2029TIPS 2.500 01/15/2029 AAA AAA 110.445
110.977
1.831
1.798
1.01615 112.228686
112.769278
M CP  T1 
 22 Trade UNITED STATES TREAS BDS TIPS 3.875% 04/15/2029 3.875 04/15/2029 AAA AAA 131.265
131.875
1.884
1.851
1.32710 174.201781
175.011312
M CP  T1 
 23 Trade UNITED STATES TREAS BDS TIPS 3.375% 04/15/2032 ISIN #US912810FQ68 SEDOL #2805872 3.375 04/15/2032 AAA AAA 126.429
127.055
1.886
1.855
1.22911 155.395148
156.164571
M CP  T1 
 24 Trade UNITED STATES TREAS BDS 02.12500% 02/15/2040TIPS 2.125 02/15/2040 AAA AAA 104.421
105.680
1.928
1.873
1.00938 105.400468
106.671278
M CP  T1 

System availability and response time is subject to market conditions.

When calculating the final dollar amount to purchase TIPS, investors will need to use the price that has been adjusted for the Inflation Factor. Semiannual coupon payments for a given par amount of TIPS are calculated by multiplying the inflation-adjusted principal by the coupon rate.

Interest income generated by Treasury bonds and certain securities issued by U.S. territories, possessions, agencies, and instrumentalities is generally free from state income tax but is generally subject to federal income and alternative minimum taxes and may be subject to state alternative minimum taxes. Short- and long-term capital gains and gains characterized as market discount recognized when bonds are sold or mature are generally taxable at both the state and federal level.

Any fixed income security including CDs sold or redeemed prior to maturity may be subject to a gain or loss.

In general, the bond market is volatile, bond prices rise when interest rates fall and vice versa. This effect is usually pronounced for longer-term securities.

Prices and yields are posted prior to the assessment of the Fidelity Brokerage Services LLC (“FBS”) markup or markdown. The FBS markup or markdown will be applied for customer review prior to placement of the order. Bonds are made available through our affiliate National Financial Services LLC ("NFS") and from various third-party providers, including participants on the BondDesk platform, with FBS normally acting as riskless principal or agent.

The offering broker, which may be NFS, may separately mark up or mark down the price of the security and may realize a trading profit or loss on the transaction.

As your bond order is routed, NFS, through which all purchase orders for fixed income securities are routed through may fulfill your purchase order for secondary Municipal, Corporate and Agency bonds as principal. If NFS executes your purchase order, rather than routing it to another market, it will have determined that your order would receive price improvement compared to an execution through the secondary market. Price improvement is defined by NFS as the Buy order being executed at a lower price than the Ask price displayed on Fidelity.com. NFS reviewing an order is not a guaranty of either execution or price improvement. NFS may route to the originator of the offering on Fidelity.com. That offering may not be available at that time.

The information provided herein is general in nature and should not be considered legal or tax advice. Fidelity does not provide legal or tax advice. Consult with an attorney or tax professional regarding your specific legal or tax situation.

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