Bond Dominion Power 7.5% ( US25746UAY55 ) in USD

Issuer Dominion Power
Market price refresh price now   99.83 %  ⇌ 
Country  United States
ISIN code  US25746UAY55 ( in USD )
Interest rate 7.5% per year ( payment 2 times a year)
Maturity 30/06/2066



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Minimal amount 1 000 USD
Total amount 300 000 000 USD
Cusip 25746UAY5
Next Coupon 30/09/2025 ( In 49 days )
Detailed description Dominion Energy is a Fortune 500 energy company serving approximately 7 million customers in 16 states, primarily focusing on natural gas and electric power generation, transmission, and distribution.

This financial analysis focuses on a specific fixed-income instrument: a bond issued by Dominion Energy, identified by ISIN US25746UAY55 and CUSIP 25746UAY5. Dominion Energy, the issuer, stands as one of the largest producers and transporters of energy in the United States, serving millions of customers across several states through its regulated utilities and non-regulated businesses, primarily operating in electric generation, transmission, and distribution, as well as natural gas storage, transmission, and distribution, thereby playing a critical role in the nation's energy infrastructure and offering a stable, utility-backed investment profile. The bond itself, issued in the United States and denominated in US Dollars, carries a substantial coupon rate of 7.5%, providing investors with a fixed income stream. With a total issue size of $300,000,000, it represents a significant offering in the debt capital markets. Investors can access this instrument with a relatively low minimum purchase size of $1,000, making it accessible to a broader range of participants. Its current market price of 99.83% suggests it is trading slightly below its par value, which could imply a marginally higher yield to maturity for new purchasers compared to the nominal coupon rate. The bond features a long-term maturity date of June 30, 2066, making it suitable for investors seeking extended exposure to the fixed-income market and long-duration assets. Payments are structured with a frequency of two per year, indicating semi-annual interest disbursements, a common standard for corporate bonds in the US market, ensuring regular income generation for bondholders.