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Fixed Income, Bonds & CDs

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Choose from 100,000 new issue and secondary market bonds and CDs, and over 150,000 total offerings quotations when including our depth of book. Only $1 per bond mark-up/mark-down for secondary bond trading, $0 for US Treasuries online.

GUARANTEED RATES FOR DEFERRED FIXED ANNUITIES

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The numerical percentage values represent the highest or median annualized yields for each category based on offerings that may be available. Visit Products > Fixed Income, Bonds & CDs to read more about the advantages and risks of brokered CDs and the different bond types listed.

Understanding This Table 3mo 6mo 9mo 1yr 2yr 3yr 5yr 10yr 20yr 30yr+
CDs (New Issues) 3.90% 3.90% 3.90% 4.00% 4.10% 4.20% 4.30% 4.30% -- --
BONDS
U.S. Treasury 3.70% 3.75% 3.77% 3.85% 3.99% 4.03% 4.14% 4.47% 5.10% 5.05%
U.S. Treasury STRIPS* 3.59% 3.67% 3.73% 3.76% 3.97% 4.04% 4.16% 4.63% 5.30% 5.12%
Agency/GSE 3.78% 3.89% 3.89% 3.91% 4.30% 4.28% 4.75% 5.11% 5.75% 5.80%
Corporate (Aaa/AAA) 3.52% 3.32% 3.91% 3.83% 3.93% 4.06% 4.24% 4.77% 5.40% 5.66%
Corporate (Aa/AA) 3.71% 3.98% 3.92% 4.10% 4.24% 4.29% 4.64% 5.32% 6.19% 6.51%
Corporate (A/A) 3.96% 4.04% 4.16% 4.33% 4.46% 4.64% 5.2% 5.59% 6.41% 6.7%
Corporate (Baa/BBB) 4.29% 4.73% 5.57% 5.53% 5.93% 6.67% 6.66% 6.75% 7.10% 7.35%
Municipal (Aaa/AAA) 3.67% 3.20% 3.07% 3.16% 3.28% 3.58% 3.26% 4.25% 4.33% 4.46%
Municipal (Aa/AA) 3.77% 3.19% 3.37% 3.59% 3.75% 3.98% 3.81% 4.58% 4.81% 5.01%
Municipal (A/A) 3.72% 3.16% 3.28% 3.45% 3.57% 3.53% 3.81% 4.42% 4.71% 4.89%
Taxable Municipal** 3.91% 4.05% 4.10% 4.14% 4.64% 4.97% 4.73% 5.24% 5.47% 6.36%
As of 2:52 PM ET 05/13/2026. Yields may be delayed up to 15 minutes.
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The Matching CUSIPs figure is an approximation and may vary from the total results figure provided on the Search Results page.
The Matching CUSIPs figure includes only the best offer side quotations for each of the displayed CUSIPs. It does not include any depth of book offerings for those CUSIPs.