Market Snapshot
  • U.S.
  • Europe
  • Asia
Ticker Volume Price Price Delta
Dow 11,444.00 -200.53 -1.72%
S&P; 500 1,206.00 -18.58 -1.52%
Nasdaq 2,623.35 -44.50 -1.67%
Ticker Volume Price Price Delta
STOXX 50 2,315.89 -39.59 -1.68%
FTSE 100 5,436.70 -29.66 -0.54%
DAX 5,859.43 -107.77 -1.81%
Ticker Volume Price Price Delta
Nikkei 8,879.60 +131.64 1.50%
TOPIX 761.88 +13.07 1.75%
Hang Seng 18,874.00 +372.20 2.01%
Gold 1,671.90 -0.66%
EUR : USD 1.3745 -0.9873%
Nasdaq 2,623.35 -1.67%
Dow 11,444.00 -1.72%
S&P; 500 1,206.00 -1.52%
FTSE 100 5,436.70 -0.54%
STOXX 50 2,315.89 -1.68%
DAX 5,859.43 -1.81%
Oil (WTI) 86.43 -0.43%
U.S. 10-year 2.169% -0.079
8411:JP 112.00 +2.75%
8918:JP 22.00 0.00%

Corporate Bonds

The FINRA/Bloomberg Active U.S. Corporate Bond Indexes are comprised of the "active" (most frequently traded) fixed coupon bonds represented by FINRA TRACE, FINRA's transaction reporting facility that disseminates all over-the-counter secondary market transactions in these public bonds. Indexes are updated after 5:30PM ET each business day. The indexes are rebalanced on a monthly basis.

Total Return (Index) measures the total amount earned by owning a security over the time period. It incorporates the accrued interest on the bond during ownership, coupons paid out on the bond, and rise and fall of the bond's price. It is the most complete measure of the amount of money made on holding fixed income issues in the index.

Price (Index) is the weighted average Index price of all bonds in the index. Please see below for details.

Yield (Index) is the weighted average Index yield of all bonds in the index. Please see below for details.

Change — Calculated as today's value less yesterday's value.

Volume — Total par value traded for all bonds in the index in millions of U.S. dollars - this is the total volume reported to TRACE and is not constrained by Disseminated Volume caps.

FINRA/Bloomberg Investment Grade U.S. Corporate Bond Index

VALUE CHANGE %CHANGE DATE
Avg Redemption Yld 4.82 -0.01 -0.21 10/14
Volume 1,090.37 -16.72 -1.51 10/14
Totl Rtn Index 161.73 0.07 0.04 10/14
Clean Price 99.81 0.03 0.03 10/14
Market Value 455.27 0.17 0.04 10/14
Interest 0.01 0.00 0.75 10/14
Gross Price 101.15 0.04 0.04 10/14
Amt Outstanding 449.26 0.13 0.03 10/14
Avg Duration 4.75 -0.02 -0.31 10/14
Avg Convexity 0.55 0.00 -0.43 10/14
Avg Coupon 5.80 0.00 0.00 10/14
Avg Adj Duration 4.64 -0.01 -0.31 10/14

FINRA/Bloomberg High Yield U.S. Corporate Bond Index

VALUE CHANGE %CHANGE DATE
Avg Redemption Yld 8.49 -0.14 -1.64 10/14
Volume 684.44 -234.01 -25.48 10/14
Totl Rtn Index 243.19 1.57 0.65 10/14
Clean Price 124.47 0.79 0.64 10/14
Market Value 93.28 0.60 0.65 10/14
Interest 0.02 0.00 0.00 10/14
Gross Price 126.69 0.82 0.65 10/14
Amt Outstanding 91.65 0.59 0.64 10/14
Avg Duration 3.88 -0.03 -0.74 10/14
Avg Convexity 0.32 0.00 0.13 10/14
Avg Coupon 7.04 0.00 0.00 10/14
Avg Adj Duration 3.73 -0.03 -0.68 10/14

FINRA TRACE Market Aggregate Statistics

The Market Aggregate statistics provides an end-of-day recap of secondary corporate bond market activity in publicly traded TRACE eligible securities. The aggregate statistics is updated after 7:00PM ET each business day.

The Total issues traded and the Dollar volume measures represent the full breadth of the TRACE-eligible universe (not including Rule 144A issues), but excludes when issued securities and matured securities.

The 52 Week High and 52 Week Low values include all Total Issues Trades, except those issues whose issue date is within the prior five business days. High and Low values are determined from the Last Sale.

Dollar Volume per security is calculated as quantity of bonds times par value. This information is aggregated for the universe and rounded to the nearest million. Values represent Million USD. Trades are included as: Customer Buys and sells, and Inter-Dealer sells.

Overall and Convertible TRACE Aggregates

VALUE CHANGE %CHANGE DATE
All TotTrd 5,177.00 -295.00 -5.39 10/14
All Adv 2,750.00 -313.00 -10.22 10/14
All Dcl 2,051.00 92.00 4.70 10/14
All Unch 109.00 -26.00 -19.26 10/14
All 52wkHI 61.00 -14.00 -18.67 10/14
All 52wkLO 171.00 -76.00 -30.77 10/14
All $ Vol 16,185.00 -1,620.00 -9.10 10/14
ConvTotTrd 200.00 -24.00 -10.71 10/14
Conv Adv 133.00 33.00 33.00 10/14
Conv Dcl 55.00 -62.00 -52.99 10/14
Conv Unch 5.00 2.00 66.67 10/14
Conv52wkHI 3.00 0.00 0.00 10/14
Conv52wkLO 3.00 -11.00 -78.57 10/14
Conv $ Vol 1,027.00 -94.00 -8.39 10/14

Investment Grade TRACE Aggregates

VALUE CHANGE %CHANGE DATE
TotTrd 3,697.00 -221.00 -5.64 10/14
Adv 1,812.00 -456.00 -20.11 10/14
Dcl 1,645.00 282.00 20.69 10/14
Unch 43.00 -11.00 -20.37 10/14
52wkHI 38.00 -8.00 -17.39 10/14
52wkLO 121.00 -34.00 -21.94 10/14
$ Vol 10,736.00 -1,399.00 -11.53 10/14

High Yield TRACE Aggregates

VALUE CHANGE %CHANGE DATE
TotTrd 1,280.00 -50.00 -3.76 10/14
Adv 805.00 110.00 15.83 10/14
Dcl 351.00 -128.00 -26.72 10/14
Unch 61.00 -17.00 -21.79 10/14
52wkHI 20.00 -6.00 -23.08 10/14
52wkLO 47.00 -31.00 -39.74 10/14
$ Vol 4,422.00 -127.00 -2.79 10/14

Unless indicated otherwise: intraday data is at least 15 minutes delayed; mutual fund NAVs are updated at the close of every market day; all prices are in the local currency; Time is ET.

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