Treasurys

TICKERCOMPANYYIELDCHANGE
US1MU.S. 1 Month Treasury5.362%-0.003
US3MU.S. 3 Month Treasury5.387%UNCH
US6MU.S. 6 Month Treasury5.377%-0.005
US1YU.S. 1 Year Treasury5.176%-0.006
US2YU.S. 2 Year Treasury4.823%-0.034
US10YU.S. 10 Year Treasury4.451%-0.03
US30YU.S. 30 Year Treasury4.598%-0.024

U.S. government debt yields fell in volatile trading on Thursday after the European Central Bank unveiled a more aggressive than expected bond-buying program.

The central bank kept its main refinancing rate at 0.05 percent, with the rate on its marginal lending facility at 0.30 percent. The rate on its deposit facility was held at -0.20 percent.