Bond Data: XS2052313827 | LYB INTERNATIONAL FINANCE II BV 1.625% 2031
Pricing | |
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Date | 2025-04-03 |
Duration | 6.10 |
Price | 88.63 |
Yield to maturity | 3.63 |
Reference | |
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Asset class | bond |
Country | Netherlands |
Coupon | 1.63 |
Currency | EUR |
FIGI | BBG00Q71VLR2 |
Interest type | fixed rate |
Callable | Yes |
Outstanding | Yes |
Puttable | No |
ISIN | XS2052313827 |
Issued amount | 500,000,000.00 |
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 |
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