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Johnson Controls International plc bond | 5.70% 2041-03-01 USD | US478375AJ79

Change % : ▼-0.977%

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Overview

pricing as of 2026-08-11
6.01
5.700
97.061
2041-03-01
USD
104.044/96.708

Analytics

9.468
9.753
122.484
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Bond Information

Issue Type
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Country
Ireland
Industry
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Region
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Maturity Date
2041-03-01
Par Value
2000
Callable
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Next Call Date
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Call Type
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Call Price (%)
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Series
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Class
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Maturity Structure
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Amount Outstanding (mil)
189.63

Coupon Information

Coupon
5.7
Coupon Type
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Coupon Frequency
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First Coupon Date
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Last Coupon Date
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Risk Information

Sinking Fund
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Security
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Subordination
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Debt Type
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Issuance Information

Issue Date
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Dated Date
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Issue Size (mil)
269.949
Min. Piece
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Min. Increment
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About the JCI 5.70% 2041-03-01 USD bond (US478375AJ79)

This Johnson Controls International plc corporate note has a 5.70% fixed rate coupon paid on a Login basis. It was issued on MAR 12, 2000 with an issue size of 269.95 million USD and matures on March 01, 2041 with a last coupon date of FEB 28, 2020.

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JCI 5.25% 2041-12-01 USD

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Pays a 5.25% coupon and matures on December 01, 2041.

97.30 USD▲ 2.36

JCI 5.13% 2045-09-14 USD

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Pays a 5.125% coupon and matures on September 14, 2045.

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JCI 1.00% 2032-09-15 EUR

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Pays a 1% coupon and matures on September 15, 2032.

85.57 EUR▲ 0.14

JCI 4.25% 2035-05-23 EUR

XS2626007939

Pays a 4.25% coupon and matures on May 23, 2035.

108.18 EUR▲ 0.11

JCI 3.13% 2033-12-11 EUR

XS2957380228

Pays a 3.125% coupon and matures on December 11, 2033.

100.41 EUR▲ 0.09

JCI 1.75% 2030-09-15 USD

US47837RAA86

Pays a 1.75% coupon and matures on September 15, 2030.

88.55 USD▲ 0.09

About the issuer Johnson Controls International plc

Johnson Controls International plc, founded in 1885 and headquartered in Cork, Ireland, is a global leader in building technologies and solutions. The company focuses on optimizing energy efficiency, sustainable infrastructure, and smart building technologies, connecting products, and services to improve both operational performance and occupant experience.