Bond Data: XS2052313827

LYB INTERNATIONAL FINANCE II BV 1.625% 2031

Pricing
date 2025-01-20
duration 6.30404
price 89.162
yield_to_maturity 3.47666
Reference
asset_class bond
country Netherlands
coupon 1.625
currency EUR
figi BBG00Q71VLR2
interest_type fixed rate
is_callable true
is_outstanding true
is_puttable false
isin XS2052313827
issued_amount 5.0e8
issuer_name LYB INTERNATIONAL FINANCE II BV
issuer_type corporate
maturity_date 2031-09-17
name LYB INTERNATIONAL FINANCE II BV 1.625% 2031
rank senior unsecured
ticker LYB 1.625 09/17/31
Price
Yield to Maturity (%)
More data is available via our API