LYB INT FINANCE III COMPANY GUAR 10/30 2.25
US50249AAG85
- ISIN
- US50249AAG85
- Issuer
- LYB INT FINANCE III COMPANY GUAR 10/30 2.25
- Face value
- 1000 USD
- Redemption date
- Issuer rating (1-10)
- 7
- Scheduled coupon payments
- 11
Payment schedule
- - 11.25 USD
- - 11.25 USD
- - 11.25 USD
- - 11.25 USD
- - 11.25 USD
- - 11.25 USD
The price, accrued interest and yield change through the trading day and are shown on the page itself.