Bond American Tower Corp 3.125% ( US03027XAM20 ) in USD

Issuer American Tower Corp
Market price refresh price now   107.13 %  ▲ 
Country  United States
ISIN code  US03027XAM20 ( in USD )
Interest rate 3.125% per year ( payment 2 times a year)
Maturity 14/01/2027



Prospectus brochure of the bond American Tower Corp US03027XAM20 en USD 3.125%, maturity 14/01/2027


Minimal amount 2 000 USD
Total amount 400 000 000 USD
Cusip 03027XAM2
Standard & Poor's ( S&P ) rating BBB ( Lower medium grade - Investment-grade )
Moody's rating Baa3 ( Lower medium grade - Investment-grade )
Next Coupon 15/01/2027 ( In 121 days )
Detailed description American Tower Corporation is a real estate investment trust (REIT) that owns, operates, and develops a portfolio of communications real estate, including towers, rooftops, and other infrastructure sites, primarily for wireless and broadcast operators globally.

An in-depth look at a specific debt instrument reveals the characteristics of an obligation issued by American Tower Corp, a leading global real estate investment trust (REIT) and independent owner, operator, and developer of wireless and broadcast communications real estate, primarily focused on leasing space on multi-tenant communications sites to wireless service providers, radio and television broadcast companies, and other tenants. This particular bond, identified by ISIN US03027XAM20 and CUSIP 03027XAM2, was issued in the United States and carries a fixed annual interest rate, or coupon, of 3.125%, with interest payments made semi-annually. The total size of this bond issuance amounts to USD 400,000,000, and it features a minimum purchase denomination of USD 2,000, making it accessible to a range of institutional and individual investors. Currently, the bond trades on the market at a price of 97.142% of its par value, denominated in USD. Its maturity date is set for January 14, 2027. Demonstrating its creditworthiness, the bond has been assigned an investment-grade rating of BBB by Standard & Poor's and Baa3 by Moody's, reflecting the issuer's financial stability and capacity to meet its debt obligations.
DateClean price
08/04/202597.14%
31/01/202596.94%
17/12/202496.84%
18/10/202497.06%
29/08/202496.81%
07/08/2024100.00%
03/11/202391.86%
17/09/202391.82%
24/08/202391.67%
31/07/202392.30%
07/07/202391.55%
14/06/202392.80%
21/05/202393.87%
27/04/202393.87%
07/04/202394.07%
20/03/202391.73%
15/03/202392.07%
21/02/202391.72%
31/01/202393.98%
09/01/202393.41%
18/12/202291.60%
26/11/202290.70%
04/11/202288.81%
15/10/202289.00%
27/09/202289.85%
10/09/202293.20%
25/08/202293.95%
09/08/202294.57%
25/07/202294.01%
10/07/202293.03%
24/06/202292.67%
09/06/202293.76%
26/05/202294.83%
10/05/202294.38%
25/04/202294.75%
09/04/202296.24%
25/03/202296.74%
10/03/202299.39%
23/02/2022100.34%
04/02/2022101.67%
20/01/2022102.91%
31/12/2021104.73%
15/12/2021104.19%
28/11/2021104.81%
13/11/2021105.32%
30/10/2021105.48%
16/10/2021106.04%
02/10/2021106.75%
14/09/2021106.79%
29/08/2021107.33%
17/08/2021107.42%
05/08/2021107.97%
23/07/2021107.55%
10/07/2021107.21%
26/06/2021106.58%
13/06/2021107.22%
26/05/2021107.02%
09/05/2021106.89%
19/04/2021107.00%
02/04/2021106.70%
16/03/2021106.58%
28/02/2021107.29%
12/02/2021109.42%
29/01/2021109.38%
16/01/2021108.87%
05/01/2021109.96%
25/12/2020109.17%
09/12/2020109.85%
26/11/2020109.50%
11/11/2020107.79%
30/10/2020107.82%
22/10/2020107.96%
15/10/2020108.77%
08/10/2020108.09%
01/10/2020108.87%
23/09/2020109.34%
16/09/2020109.74%
08/09/2020109.28%
31/08/2020109.62%
24/08/2020109.56%
16/08/2020109.79%
08/08/2020110.95%
01/08/2020110.59%
24/07/2020110.54%
16/07/2020110.20%
09/07/2020108.99%
01/07/2020108.23%
24/06/2020107.40%
16/06/2020107.13%