bond

BLACKSTONE HOLDINGS FINANCE CO LLC 3.5% 2034

Pricing

Price

98.89

Yield To Maturity

Duration

Last Trade Date

2024-03-15

Identifiers

ISIN

XS2485132760

Figi

BBG017QM67J4

Ticker

BX 3.5 06/01/34 REGS

Features

Currency

EUR

Coupon

3.5

Maturity Date

2034-06-01

Interest Type

Fixed Rate

Maturity Type

Amortized

Callable

True

Puttable

False

Min Increment

100,000

Issued Amount

500,000,000

Rank

Senior Unsecured

Registration Type

Registered

Issuer info

Issuer

BLACKSTONE HOLDINGS FINANCE CO LLC

LEI

549300D2L6J4NC1QVZ22

Country

United States Of America

Issuer Type

Corporate

Sector

Financials

Industry group

Financial Services

Ratings

Issue rating

-/-/-

Issuer rating

-/A+/A+

Found an error? Let us know at contact@terrapinfinance.com

Trade data is collected from publicly available MiFID II post-trade reports from European venues. Prices and volumes are updated daily.

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Other bonds from same issuer

Showing 1 - 40 of 40 results.

ISIN

Ticker

Currency

Coupon

Maturity Date

XS1499602289 BX 1 10/05/26 REGS EUR 1.0 2026-10-05
XS1979490239 BX 1.5 04/10/29 REGS EUR 1.5 2029-04-10
XS2485132760 BX 3.5 06/01/34 REGS EUR 3.5 2034-06-01
XS1234760699 BX 2 05/19/25 REGS EUR 2.0 2025-05-19
US09261BAK61 BX 6.2 04/22/33 144A USD 6.2 2033-04-22
US09261BAG59 BX 2.55 03/30/32 144A USD 2.55 2032-03-30
USU0925BAJ36 BX 5.9 11/03/27 REGS USD 5.9 2027-11-03
US09261BAF76 BX 2.85 08/05/51 144A USD 2.85 2051-08-05
US09261BAC46 BX 1.625 08/05/28 144A USD 1.625 2028-08-05
US09261BAD29 BX 2 01/30/32 144A USD 2.0 2032-01-30
US09261BAH33 BX 3.2 01/30/52 144A USD 3.2 2052-01-30
USU0925BAK09 BX 6.2 04/22/33 REGS USD 6.2 2033-04-22
US09256BAH06 BX 4.45 07/15/45 144A USD 4.45 2045-07-15
XS1499602446 BX 1 10/05/26 144A EUR 1.0 2026-10-05
USU0925BAG96 BX 2.55 03/30/32 REGS USD 2.55 2032-03-30
US09261BAJ98 BX 5.9 11/03/27 144A USD 5.9 2027-11-03
US09256BAJ61 BX 3.15 10/02/27 144A USD 3.15 2027-10-02
US09256BAL18 BX 2.5 01/10/30 144A USD 2.5 2030-01-10
US09256BAK35 BX 4 10/02/47 144A USD 4.0 2047-10-02
USU0925QAE18 BX 2.5 01/10/30 REGS USD 2.5 2030-01-10
USU0925BAH79 BX 3.2 01/30/52 REGS USD 3.2 2052-01-30
US09261BAB62 BX 2.8 09/30/50 144A USD 2.8 2050-09-30
USU0925BAD65 BX 2 01/30/32 REGS USD 2.0 2032-01-30
US09261BAA89 BX 1.6 03/30/31 144A USD 1.6 2031-03-30
US09256BAG23 BX 5 06/15/44 144A USD 5.0 2044-06-15
USU0925QAF82 BX 3.5 09/10/49 REGS USD 3.5 2049-09-10
USU0925BAC82 BX 1.625 08/05/28 REGS USD 1.625 2028-08-05
USU0925BAA27 BX 1.6 03/30/31 REGS USD 1.6 2031-03-30
US09256BAE74 BX 6.25 08/15/42 144A USD 6.25 2042-08-15
USU0925QAC51 BX 3.15 10/02/27 REGS USD 3.15 2027-10-02
USU0925BAF14 BX 2.85 08/05/51 REGS USD 2.85 2051-08-05
USU09254AC45 BX 5 06/15/44 REGS USD 5.0 2044-06-15
USU0925QAB78 BX 6.25 08/15/42 REGS USD 6.25 2042-08-15
US09256BAM90 BX 3.5 09/10/49 144A USD 3.5 2049-09-10
XS2485132844 BX 3.5 06/01/34 144A EUR 3.5 2034-06-01
USU0925QAD35 BX 4 10/02/47 REGS USD 4.0 2047-10-02
USU0925BAB00 BX 2.8 09/30/50 REGS USD 2.8 2050-09-30
XS1234795992 BX 2 05/19/25 144A EUR 2.0 2025-05-19
XS1979490742 BX 1.5 04/10/29 144A EUR 1.5 2029-04-10
USU09254AD28 BX 4.45 07/15/45 REGS USD 4.45 2045-07-15

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