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03.08.2026
Long-dated yields rose and curves steepened. Gabon led gainers, Virgin Media O2 fell hardest, Hertz cut to CCC, and a $12.5bn data-centre bond priced.
Weekly bond digest: July 27 – August 2, 2026
30.07.2026
US Treasury historical returns since 1992: what 2-year and 10-year Treasuries, T-bills and a 60/40 portfolio really earned, before and after inflation.
US Treasury Historical Returns: What Bonds Really Earned Over 34 Years
26.07.2026
Bond yields rose in the US, Germany and UK. Long-dated Oracle and Meta bonds fell, Piraeus Bank regained investment grade, Kuwait raised $6bn.
Weekly bond digest: July 20 – July 26, 2026
21.07.2026
Corporate vs government bonds compared: yield, credit risk, taxation and liquidity, with European examples to help you build a smarter bond portfolio.
Corporate vs Government Bonds: Key Differences
20.07.2026
Global bond strategies for steady income: how to combine sovereign, corporate and EM debt - and manage currency risk - in a euro-based portfolio.
Global Bond Strategies for Steady Income
19.07.2026
Oil's $10 jump lifted European yields — German 2Y +17bp. PayPal bonds soared 12%, Virgin Media slid, and banks led a busy new-issue week
Weekly bond digest: July 13 – July 19, 2026
14.07.2026
A zero coupon bond calculator finds a bond's price and yield from its face value, maturity and rate. See the formula and worked euro examples.
Zero Coupon Bond Calculator
12.07.2026
Middle East tensions lifted bond yields worldwide. Bund 10Y topped 3%, Ukraine bonds led gains, long tech bonds fell, Oracle cut to BBB-.
Weekly bond digest: July 6 – July 12, 2026
09.07.2026
High yield municipal bond ETF benefits: 5%+ income, low defaults, broad diversification — and what they really mean for European investors.
High Yield Municipal Bond ETF Benefits Explained
07.07.2026
Premium vs discount bonds in 2026: why most euro bonds trade below par, what pull to par means for returns, and how EU taxes change the math.
Premium vs Discount Bonds Market Trends