Bond USA Bonds 0% ( US912797LW51 ) in USD

Issuer USA Bonds
Market price 100.00 %  ▲ 
Country  United States
ISIN code  US912797LW51 ( in USD )
Interest rate 0%
Maturity 10/07/2025 - Bond has expired



Prospectus brochure in PDF format

Minimal amount /
Total amount 48 591 812 900 USD
Cusip 912797LW5
Detailed description US Treasury bonds are debt securities issued by the U.S. government to finance its spending and are considered low-risk investments.

The Bond issued by USA Bonds ( United States ) , in USD, with the ISIN code US912797LW51, pays a coupon of 0% per year.
The coupons are paid 1 time per year and the Bond maturity is 10/07/2025
DateClean price
10/07/20254.18%
08/07/20254.20%
07/07/202599.96%
04/07/202599.95%
02/07/202599.91%
01/07/202599.89%
30/06/202599.88%
26/06/202599.86%
25/06/202599.82%
24/06/20254.11%
20/06/20254.16%
18/06/202599.74%
17/06/202599.72%
16/06/20254.12%
13/06/20254.12%
11/06/202599.65%
09/06/202599.63%
06/06/202599.61%
04/06/202599.57%
02/06/202599.54%
30/05/202599.52%
28/05/202599.47%
27/05/202599.47%
22/05/202599.98%
21/05/202599.39%
19/05/202599.37%
16/05/202599.35%
13/05/202599.30%
10/05/202599.28%
06/05/20254.21%
05/05/20254.20%
01/05/20254.19%
30/04/20254.19%
28/04/20254.19%
25/04/20254.19%
24/04/20254.19%
23/04/20254.19%
22/04/20254.19%
21/04/20254.19%
18/04/20254.19%
17/04/20254.19%
16/04/20254.20%
15/04/20254.21%
14/04/20254.23%
11/04/20254.21%
09/04/20254.19%
08/04/20254.17%
07/04/20254.17%
04/04/20254.18%
03/04/20254.20%
02/04/20254.19%
01/04/20254.19%
31/03/20254.18%
28/03/20254.18%
26/03/20254.18%
25/03/20254.18%
24/03/20254.17%
20/03/20254.17%
19/03/20254.17%
14/03/20254.17%
13/03/20254.17%
12/03/20254.16%
11/03/20254.16%
10/03/20254.16%
08/03/20254.15%
06/03/20254.18%
04/03/20254.16%
03/03/20254.17%
28/02/20254.17%
27/02/20254.17%
26/02/20254.17%
21/02/20254.20%
20/02/20254.20%
19/02/20254.20%
15/02/20254.21%
14/02/20254.21%
13/02/20254.20%
12/02/20254.20%
11/02/20254.20%
07/02/20254.16%
06/02/20254.16%
05/02/20254.15%
04/02/20254.16%
03/02/20254.16%
01/02/20254.15%
31/01/20254.15%
30/01/20254.16%
29/01/2025100.00%