Search
Products
Community
Markets
Brokers
More
EN
Get started
Markets
/
United Kingdom
/
LYB
/
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
Chart
Analysis
LYB5058417
chart
1 day
5 days
1 month
6 months
Year to date
1 year
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
4.33%
Maturity date
Oct 1, 2025
Term to maturity
2 months
About LYB International Finance III LLC 1.25% 01-OCT-2025
Issuer
LYB International Finance III LLC
Sector
Process Industries
Industry
Chemicals: Specialty
Issue date
Oct 8, 2020
FIGI
BBG00XRZT1X0
Related bonds
See how LYB International Finance III LLC is moving with its highest-yielding bonds.
LYB5058417
analysis
Advanced bond data for paid plans
Unlock important bond data including coupon rates, redemption details, risk assessments, and much more.
Start trial