
Bond Name | Country | Maturity | Coupon(%) | |
---|---|---|---|---|
LYB 0.88% 2026-09-17 EURLYB International Finance II B.V. | Netherlands | 2026-09-17 | 0.875 | 1.93 |
LYB 1.63% 2031-09-17 EURLYB International Finance II B.V. | United Kingdom | 2031-09-17 | 1.625 | 2.32 |
LYB 3.50% 2027-03-02 USDLYB International Finance II B.V. | United Kingdom | 2027-03-02 | 3.500 | 4.20 |
Company overview and issue history are AI generated, and should not be cited or relied on without verification.