Philip Morris International · PM
Philip Morris International 5.625% due November 17, 2029
Coupon
5.625%
Maturity
2029-11-17
Currency
USD
Years left
3.5
Identifiers
ISINUS718172CW74
CUSIP718172CW7
TickerPM
IssuerPhilip Morris International
TypeCorporate Bond
About this bond
The Philip Morris International 5.625% bond (ISIN US718172CW74, CUSIP 718172CW7) is a USD-denominated corporate bond maturing on November 17, 2029. The bond pays a fixed 5.625% annual coupon, typically distributed in semi-annual installments.
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Other Philip Morris International bonds
| ISIN | CUSIP | Coupon | Maturity |
|---|---|---|---|
| US718172DG16 | 718172DG1 | 4.875% | February 13, 2029 |
| US718172CP24 | 718172CP2 | 2.100% | May 1, 2030 |
| US718172DH98 | 718172DH9 | 5.125% | February 13, 2031 |
| US718172CX57 | 718172CX5 | 5.750% | November 17, 2032 |
| US718172DB29 | 718172DB2 | 5.375% | February 15, 2033 |
| US718172DJ54 | 718172DJ5 | 5.250% | February 13, 2034 |
| US718172AC39 | 718172AC3 | 6.375% | May 16, 2038 |