LYB Corporate Bond 5.25% 7/15/2043
A corporate bond issued by LYB International Finance B.V., rated A, paying a 5.25% coupon and maturing 7/15/2043.
- Issuer
- LYB International Finance B.V.
- CUSIP
- 50247VAB5
- FIGI
- BBG004TNC078
- Coupon
- 5.25%
- Maturity
- 7/15/2043
- Rating
- A
- Price
- 88.21
- YTW
- 6.40%
- TB Score
- 79
As of 2026-07-02 (price is stale).