Treasuries

The treasuries market includes government debt instruments such as gilts, bunds, bonds and treasury notes. We offer prices on over 51 treasury CFDs from across the globe, including both cash and forward products.

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Treasuries CFD product details

View the spreads, margins and trading hours for our CFD trading treasuries products.

ProductMinimum spread*Margin rate fromTrading hours
Canada Bank 3 month3.01.00%Mon-Fri 15:00-05:00
(closed Sat 05:00 - Mon 15:00)
Canada Bond 10 YR6.01.00%Mon-Fri 15:00-05:00
(closed Sat 05:00 - Mon 15:00)
Euribor - Cash1.00.25%Mon-Fri 15:00-05:00
(closed Sat 05:00 - Mon 15:00)
Euro Bobl - Cash2.00.25%Mon-Fri 15:00-05:00
(closed Sat 05:00 - Mon 15:00)
Euro BTP2.51.50%Mon-Fri 15:00-02:00
(closed Sat 02:00 - Mon 15:00)
Euro Bund - Cash2.00.25%Mon-Fri 15:00-05:00
(closed Sat 05:00 - Mon 15:00)
Euro Buxl - Cash4.00.50%Mon-Fri 15:00-05:00
(closed Sat 05:00 - Mon 15:00)
Euro OAT2.51.50%Mon-Fri 15:00-02:00
(closed Sat 02:00 - Mon 15:00)
Euro Schatz - Cash1.00.25%Mon-Fri 15:00-05:00
(closed Sat 05:00 - Mon 15:00)
Eurodollar - Cash2.00.25%Mon-Fri 07:00-06:00
(closed Sat 06:00 - Mon 07:00)
UK Gilt - Cash2.00.25%Mon-Fri 16:00-02:00
(closed Sat 02:00 - Mon 16:00)
UK Short Sterling - Cash1.00.25%Mon-Fri 15:30-02:00
(closed Sat 02:00 - Mon 15:30)
US Fed Funds 30 Day 1.00.25% Mon - Sat 10:00 - 09:00
(break daily 09:00 - 10:00)
US T-Bond - Cash3.00.50%Mon-Fri 07:00-06:00
(closed Sat 06:00 - Mon 07:00)
US T-Bond Ultra3.51.50%Mon - Sat 10:00 - 09:00
(break daily 09:00 - 10:00)
US T-Note 10 YR - Cash3.00.25%Mon-Fri 07:00-06:00
(closed Sat 06:00 - Mon 07:00)
US T-Note 2 YR - Cash1.50.25%Mon-Fri 07:00-06:00
(closed Sat 06:00 - Mon 07:00)
US T-Note 5 YR - Cash1.50.25%Mon-Fri 07:00-06:00
(closed Sat 06:00 - Mon 07:00)

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*A minimum spread is the lowest spread that will be shown on the given product. If the underlying market spread widens throughout the trading day, or you are trading out of hours, the platform spread may also widen. The spreads shown are for the first price available for the average market trade/bet sizes in the relevant product. The spread will widen for larger trade/bet sizes; see our platform for more information.

This data is provided for general information only and may not be current. Please refer to the product overview area of our trading platform for real-time information on the spreads, margin rates, commission (as applicable) and trading hours of a particular product.

​​Please note, the change in price that results in a P&L change equal to your stake size is represented by the last large digit in the price shown on the platform.

​At the end of each trading day (5pm New York time), positions held in your account may be subject to holding cost. The holding cost can be positive or negative depending on the direction of your position and the applicable holding rate. Historical holding rates, expressed as an annual percentage rate, are visible on our platform within the overview section of each product. View further details about our CFD trading holding costs.

^We offer competitive monthly cash rebates for clients who trade in high volumes and if you meet our monthly notional value requirements for one asset class, you automatically qualify for monthly rebates for all asset classes; conditions apply.

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