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LYB4102592
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Analysis
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LYB International Finance BV 4.875% 15-MAR-2044
LYB4102592
FINRA
LYB4102592
FINRA
LYB4102592
FINRA
LYB4102592
FINRA
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Overview
Analysis
LYB4102592 analysis
Overview
Coupon
Redemption
Risks
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Key facts
Issuer
LYB International Finance BV
Issue date
Feb 28, 2014
Maturity date
Mar 15, 2044
Outstanding amount
1.00 B
USD
Face value
1,000.00
USD
Minimum denomination
2,000.00
USD
Coupon
4.88% (Fixed)
Yield to maturity
5.87%
Acts as a financing subsidiary/Special purpose entity
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