Treasury yields

3-Month Treasury Constant Maturity Yield

3.92%
unchanged since last reading

stale This feed publishes daily (business days) and has not updated on schedule.

Source: U.S. Treasury · DTYC3M · as of Sep 2, 2026 stale

Previous
3.92%
1 month ago
3.91%
1 year ago
4.20%
52-week high
4.20%
52-week low
3.62%

History

What this measures

The yield on a 3-month U.S. Treasury security, published each trading day by the Treasury Department.

How it is measured. The daily Treasury par yield curve is derived from the over-the-counter market bid yields on the most recently auctioned Treasury securities, read at roughly 3:30 PM Eastern each trading day. It is a par yield, not a coupon-equivalent bill discount, which is why a Treasury quote can differ slightly from a broker's screen.

Published daily (business days) by U.S. Department of the Treasury. Source: U.S. Department of the Treasury.

Recent readings

9171 observations on record
Most recent published values for 3-Month Treasury Constant Maturity Yield
Date Rate Retrieved
Sep 2, 2026 3.92% Sep 3, 2026
Sep 1, 2026 3.92% Sep 3, 2026
Aug 31, 2026 3.91% Sep 3, 2026
Aug 28, 2026 3.90% Sep 3, 2026
Aug 27, 2026 3.84% Sep 3, 2026
Aug 26, 2026 3.85% Sep 3, 2026
Aug 25, 2026 3.86% Sep 3, 2026
Aug 24, 2026 3.87% Sep 3, 2026
Aug 21, 2026 3.88% Sep 3, 2026
Aug 20, 2026 3.87% Sep 3, 2026
Aug 19, 2026 3.86% Sep 3, 2026
Aug 18, 2026 3.86% Sep 3, 2026
Aug 17, 2026 3.87% Sep 3, 2026
Aug 14, 2026 3.86% Sep 3, 2026
Aug 13, 2026 3.87% Sep 3, 2026
Aug 12, 2026 3.87% Sep 3, 2026
Aug 11, 2026 3.89% Sep 3, 2026
Aug 10, 2026 3.89% Sep 3, 2026
Aug 7, 2026 3.87% Sep 3, 2026
Aug 6, 2026 3.90% Sep 3, 2026

Related

Other treasury yields