Treasury Bond Interest Rate - Excel

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					30-Year Treasury Interest Rates and Corporate Bond Segment Rates (unblended and blended)
The Corporate Bond Segment Rates and new mortality table, as weighted with the 30-year Treasury bond interest rate, are effective for benefits commencing after
December 31, 2007. However, the 30-year Treasury bond interest rate and former mortality table are grandfathered on "better of" basis for benefits commencing January
1 through December 1, 2009 for those who were employees on January 1, 2008, and through June 1, 2008 for all other participants. The most current interest rates
are not reflected on the Fidelity system until the 15th of the following month.

    Benefit            Month/Year      30 Year      Corporate Bond Segment Rates              Corporate Bond Segment Rates                 Corporate Bond Segment Rates
Commencement Date        for the      Treasury                                                          (BLENDED)                                    (BLENDED)
                      Lookback Rate Interest Rate                                         Used for those not employed with BP on        Used for those employed with BP on
                                     (Gatt Rate)                                                      January 1, 2008                              January 1, 2008
                                                                                           2009 BCDs: Rates shown are 60% 30-yr        2010 BCDs: Rates shown are 80% 30-yr
                                                                                          Treasury Interest Rate and 40% Corporate     Treasury Interest Rate and 20% Corporate
                                                                                                     Bond Segment Rate                            Bond Segment Rate
                                                                                           2010 BCDs: Rates shown are 40% 30-yr
                                                                                          Treasury Interest Rate and 60% Corporate
                                                      1st         2nd          3rd           1st            2nd             3rd           1st            2nd             3rd
                                                    < 5 years   > 5 years,   > 20 years    < 5 years   > 5 years, up to   > 20 years    < 5 years   > 5 years, up to   > 20 years
                                                                 up to 20                                  20 years                                     20 years
                                                                  years
 February 1, 2010        Oct-2009       4.19%       2.60%       5.58%         6.07%         3.24%         5.02%            5.32%         3.87%         4.47%            4.57%
  January 1, 2010        Sep-2009       4.19%       2.73%       5.63%         6.07%         3.31%         5.05%            5.32%         3.90%         4.48%            4.57%
 December 1, 2009        Aug-2009       4.37%       3.08%       5.94%         6.21%         3.85%         5.00%            5.11%
 November 1, 2009         Jul-2009      4.41%       3.39%       6.28%         6.47%         4.00%         5.16%            5.23%
  October 1, 2009        Jun-2009       4.52%       3.89%       6.59%         6.55%         4.27%         5.35%            5.33%
September 1, 2009        May-2009       4.23%       4.27%       7.00%         6.77%         4.25%         5.34%            5.25%
  August 1, 2009         Apr-2009       3.76%       5.12%       7.15%         6.92%         4.30%         5.12%            5.02%
    July 1, 2009         Mar-2009       3.64%       5.70%       7.53%         7.85%         4.46%         5.20%            5.32%
   June 1, 2009          Feb-2009       3.59%       5.24%       7.07%         7.08%         4.25%         4.98%            4.99%
    May 1, 2009          Jan-2009       3.13%       5.20%       6.80%         6.31%         3.96%         4.60%            4.40%
   April 1, 2009         Dec-2008       2.87%       6.72%       7.12%         6.36%         4.41%         4.57%            4.27%
   March 1, 2009         Nov-2008       4.00%       7.11%       8.23%         7.42%         5.24%         5.69%            5.37%
 February 1, 2009        Oct-2008       4.17%       7.35%       8.61%         7.26%         5.44%         5.95%            5.41%
  January 1, 2009        Sep-2008       4.27%       5.86%       7.35%         6.88%         4.91%         5.50%            5.31%
 December 1, 2008        Aug-2008       4.50%       5.21%       6.87%         6.91%         4.64%         4.97%            4.98%
 November 1, 2008         Jul-2008      4.57%       5.16%       6.88%         7.04%         4.69%         5.03%            5.06%
  October 1, 2008        Jun-2008       4.69%       4.99%       6.64%         6.95%         4.75%         5.08%            5.14%
September 1, 2008        May-2008       4.60%       4.67%       6.36%         6.77%         4.61%         4.95%            5.03%

        Last Updated: 7/6/2010
30-Year Treasury Interest Rates and Corporate Bond Segment Rates (unblended and blended)
The Corporate Bond Segment Rates and new mortality table, as weighted with the 30-year Treasury bond interest rate, are effective for benefits commencing after
December 31, 2007. However, the 30-year Treasury bond interest rate and former mortality table are grandfathered on "better of" basis for benefits commencing January
1 through December 1, 2009 for those who were employees on January 1, 2008, and through June 1, 2008 for all other participants. The most current interest rates
are not reflected on the Fidelity system until the 15th of the following month.

    Benefit            Month/Year      30 Year      Corporate Bond Segment Rates              Corporate Bond Segment Rates                 Corporate Bond Segment Rates
Commencement Date        for the      Treasury                                                          (BLENDED)                                    (BLENDED)
                      Lookback Rate Interest Rate                                         Used for those not employed with BP on        Used for those employed with BP on
                                     (Gatt Rate)                                                      January 1, 2008                              January 1, 2008
                                                                                           2009 BCDs: Rates shown are 60% 30-yr        2010 BCDs: Rates shown are 80% 30-yr
                                                                                          Treasury Interest Rate and 40% Corporate     Treasury Interest Rate and 20% Corporate
                                                                                                     Bond Segment Rate                            Bond Segment Rate
                                                                                           2010 BCDs: Rates shown are 40% 30-yr
                                                                                          Treasury Interest Rate and 60% Corporate
                                                      1st         2nd          3rd           1st            2nd             3rd           1st            2nd             3rd
                                                    < 5 years   > 5 years,   > 20 years    < 5 years   > 5 years, up to   > 20 years    < 5 years   > 5 years, up to   > 20 years
                                                                 up to 20                                  20 years                                     20 years
                                                                  years
  August 1, 2008         Apr-2008       4.44%       4.60%       6.28%         6.96%         4.47%         4.81%            4.94%
    July 1, 2008         Mar-2008       4.39%       4.28%       6.38%         6.99%         4.37%         4.79%            4.91%
   June 1, 2008          Feb-2008       4.52%       4.11%       6.18%         7.05%         4.44%         4.85%            5.03%
    May 1, 2008          Jan-2008       4.33%       4.39%       6.01%         6.72%         4.34%         4.67%            4.81%
   April 1, 2008         Dec-2007       4.53%       4.93%       6.13%         6.69%         4.61%         4.85%            4.96%
   March 1, 2008         Nov-2007       4.52%       4.92%       6.02%         6.47%         4.60%         4.82%            4.91%
 February 1, 2008        Oct-2007       4.77%       5.17%       6.02%         6.38%         4.85%         5.02%            5.09%
  January 1, 2008        Sep-2007       4.79%       5.28%       6.12%        6.55%          4.89%         5.06%            5.14%
 December 1, 2007        Aug-2007       4.93%       5.40%       6.20%        6.66%
 November 1, 2007         Jul-2007      5.11%       5.53%       6.22%         6.60%
  October 1, 2007        Jun-2007       5.20%       5.58%       6.21%         6.61%
September 1, 2007        May-2007       4.90%       5.32%       5.85%         6.32%
  August 1, 2007          Apr-2007      4.87%       5.23%       5.81%         6.34%
    July 1, 2007         Mar-2007       4.72%       5.13%       5.68%         6.19%
   June 1, 2007          Feb-2007       4.82%       5.31%       5.76%         6.13%
    May 1, 2007          Jan-2007       4.85%       5.35%       5.78%         6.22%


        Last Updated: 7/6/2010
30-Year Treasury Interest Rates and Corporate Bond Segment Rates (unblended and blended)
The Corporate Bond Segment Rates and new mortality table, as weighted with the 30-year Treasury bond interest rate, are effective for benefits commencing after
December 31, 2007. However, the 30-year Treasury bond interest rate and former mortality table are grandfathered on "better of" basis for benefits commencing January
1 through December 1, 2009 for those who were employees on January 1, 2008, and through June 1, 2008 for all other participants. The most current interest rates
are not reflected on the Fidelity system until the 15th of the following month.

    Benefit            Month/Year      30 Year      Corporate Bond Segment Rates              Corporate Bond Segment Rates                 Corporate Bond Segment Rates
Commencement Date        for the      Treasury                                                          (BLENDED)                                    (BLENDED)
                      Lookback Rate Interest Rate                                         Used for those not employed with BP on        Used for those employed with BP on
                                     (Gatt Rate)                                                      January 1, 2008                              January 1, 2008
                                                                                           2009 BCDs: Rates shown are 60% 30-yr        2010 BCDs: Rates shown are 80% 30-yr
                                                                                          Treasury Interest Rate and 40% Corporate     Treasury Interest Rate and 20% Corporate
                                                                                                     Bond Segment Rate                            Bond Segment Rate
                                                                                           2010 BCDs: Rates shown are 40% 30-yr
                                                                                          Treasury Interest Rate and 60% Corporate
                                                      1st         2nd          3rd           1st            2nd             3rd           1st            2nd             3rd
                                                    < 5 years   > 5 years,   > 20 years    < 5 years   > 5 years, up to   > 20 years    < 5 years   > 5 years, up to   > 20 years
                                                                 up to 20                                  20 years                                     20 years
                                                                  years
    April 1, 2007        Dec-2006       4.68%       5.16%       5.60%         6.09%
   March 1, 2007         Nov-2006       4.69%       5.25%       5.64%         6.07%
 February 1, 2007         Oct-2006      4.85%       5.33%       5.81%         6.36%
  January 1, 2007        Sep-2006       4.85%       5.32%       5.81%         6.42%
 December 1, 2006        Aug-2006       5.00%       5.46%       5.98%         6.59%
 November 1, 2006         Jul-2006      5.13%       5.67%       6.19%         6.75%
  October 1, 2006        Jun-2006       5.16%       5.67%       6.21%         6.78%
September 1, 2006        May-2006       5.20%       5.52%       6.19%         6.79%
  August 1, 2006          Apr-2006      5.06%       5.43%       6.06%         6.67%
    July 1, 2006         Mar-2006       4.73%       5.27%       5.77%         6.31%
   June 1, 2006          Feb-2006       4.58%       5.19%       5.61%         6.09%
    May 1, 2006          Jan-2006       4.59%       4.96%       5.49%         6.14%
    April 1, 2006        Dec-2005       4.65%       4.96%       5.54%         6.24%
   March 1, 2006         Nov-2005       4.73%       4.95%       5.60%         6.34%
 February 1, 2006         Oct-2005      4.68%       4.78%       5.50%         6.27%
  January 1, 2006        Sep-2005       4.47%       4.44%       5.23%         6.05%

        Last Updated: 7/6/2010

				
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