Petrobras · PBR
Petrobras 5.625% due May 20, 2043
Coupon
5.625%
Maturity
2043-05-20
Currency
USD
Years left
17.0
Identifiers
ISINUS71647NAA72
CUSIP71647NAA7
TickerPBR
IssuerPetrobras
TypeCorporate Bond
About this bond
The Petrobras 5.625% bond (ISIN US71647NAA72, CUSIP 71647NAA7) is a USD-denominated corporate bond maturing on May 20, 2043. The bond pays a fixed 5.625% annual coupon, typically distributed in semi-annual installments.
See pricing, yield & cash flows on NPTS Orbit
- End-of-day pricing
- Yield to maturity
- Full cash-flow schedule
- Credit ratings
Other Petrobras bonds
| ISIN | CUSIP | Coupon | Maturity |
|---|---|---|---|
| USN6945AAK36 | N6945AAK3 | 5.999% | January 27, 2028 |
| US71647NAY58 | 71647NAY5 | 5.999% | January 27, 2028 |
| US71647NAZ24 | 71647NAZ2 | 5.750% | February 1, 2029 |
| USN6945AAL19 | N6945AAL1 | 5.093% | January 15, 2030 |
| US71647NBE85 | 71647NBE8 | 5.093% | January 15, 2030 |
| US71647NBM02 | 71647NBM0 | 5.125% | September 10, 2030 |
| US71647NBH17 | 71647NBH1 | 5.600% | January 3, 2031 |
| US71647NBK46 | 71647NBK4 | 6.500% | July 3, 2033 |
| US71647NBL29 | 71647NBL2 | 6.000% | January 13, 2035 |
| US71647NBN84 | 71647NBN8 | 6.250% | January 10, 2036 |