I Bond Value — September 2017
A $1,000.00 I Bond issued in September 2017 is worth $1,335.60 today.
Current total value
$1,335.60
Redemption value (incl. penalty)
$1,335.60
Current composite rate
3.12%
Interest earned to date
$335.60
About this September 2017 I Bond
This Series I savings bond was issued in September 2017 and locked in a fixed rate of 0.00% for the life of the bond. It has earned interest for 8 years, 9 months, and its inflation component resets every six months. It is currently earning a composite rate of 3.12%.
This bond is more than five years old, so there is no early-redemption penalty: its redemption value equals its full value of $1,335.60.
Semiannual value table
Value of this $1,000.00 I Bond at the start of each six-month earning period since issue.
| Period start | Composite rate | Value | Value after penalty |
|---|---|---|---|
| September 2017 | 1.96% | $1,000.00 | $1,000.00 |
| March 2018 | 2.48% | $1,010.00 | $1,004.80 |
| September 2018 | 2.22% | $1,022.40 | $1,016.40 |
| March 2019 | 2.32% | $1,033.60 | $1,028.00 |
| September 2019 | 1.40% | $1,045.60 | $1,039.60 |
| March 2020 | 2.02% | $1,052.80 | $1,049.20 |
| September 2020 | 1.06% | $1,063.60 | $1,058.00 |
| March 2021 | 1.68% | $1,069.20 | $1,066.40 |
| September 2021 | 3.54% | $1,078.00 | $1,073.60 |
| March 2022 | 7.12% | $1,097.20 | $1,087.60 |
| September 2022 | 9.62% | $1,136.40 | $1,136.40 |
| March 2023 | 6.48% | $1,191.20 | $1,191.20 |
| September 2023 | 3.38% | $1,229.60 | $1,229.60 |
| March 2024 | 3.94% | $1,250.40 | $1,250.40 |
| September 2024 | 2.96% | $1,275.20 | $1,275.20 |
| March 2025 | 1.90% | $1,294.00 | $1,294.00 |
| September 2025 | 2.86% | $1,306.40 | $1,306.40 |
| March 2026 | 3.12% | $1,325.20 | $1,325.20 |
Other amounts for September 2017
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