Bond Data: XS1066312395

PHILIP MORRIS INTERNATIONAL INC 2.875% 2029

Pricing
Date 2025-02-21
Duration 3.95
Price 99.79
Yield to maturity 2.93
Reference
Asset class bond
Country United States of America
Coupon 2.88
Currency EUR
FIGI BBG006G1BFW5
Interest type fixed rate
Callable No
Outstanding Yes
Puttable No
ISIN XS1066312395
Issued amount 500,000,000.00
Issuer name PHILIP MORRIS INTERNATIONAL INC
Issuer type corporate
Maturity date 2029-05-14
Name PHILIP MORRIS INTERNATIONAL INC 2.875% 2029
Rank senior unsecured
Ticker PM 2.875 05/14/29
Price
Yield to Maturity (%)
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