Search
Products
Community
Markets
News
Brokers
More
EN
Get started
Markets
/
United Kingdom
/
Corporate bonds
/
LYB5058417
L
L
L
LYB International Finance III LLC 1.25% 01-OCT-2025
LYB5058417
FINRA
LYB5058417
FINRA
LYB5058417
FINRA
LYB5058417
FINRA
Market closed
Market closed
No trades
See on Supercharts
Overview
Analysis
LYB5058417
chart
Full chart
1 day
5 days
1 month
6 months
Year to date
1 year
5 years
All time
Key terms
Outstanding amount
492.13 M
USD
Face value
1,000.00
USD
Minimum denomination
2,000.00
USD
Coupon
1.25% (Fixed)
Coupon frequency
Semi-annual
Yield to maturity
5.03%
Maturity date
Oct 1, 2025
Term to maturity
9 months
About LYB International Finance III LLC 1.25% 01-OCT-2025
Issuer
LYB International Finance III LLC
Sector
Process Industries
Issue date
Oct 8, 2020
FIGI
BBG00XRZT1X0
LYB International Finance III LLC manufactures chemical products. The company is headquartered in DE.
Show more
LYB5058417
analysis
Advanced bond data for paid plans
Unlock important bond data including coupon rates, redemption details, risk assessments, and much more.
Start trial