Bond Avianca Group International 9% ( USG2957NAC59 ) in USD

Issuer Avianca Group International
Market price refresh price now   102.00 %  ▼ 
Country  Panama
ISIN code  USG2957NAC59 ( in USD )
Interest rate 9% per year ( payment 2 times a year)
Maturity 01/12/2028



Prospectus brochure in PDF format

Minimal amount /
Total amount /
Cusip G2957NAC5
Next Coupon 01/12/2026 ( In 96 days )
Detailed description Avianca Group International is a Latin American airline holding company operating a network of airlines across the Americas, including Avianca, Avianca Express, and others, offering passenger and cargo services.

The Bond issued by Avianca Group International ( Panama ) , in USD, with the ISIN code USG2957NAC59, pays a coupon of 9% per year.
The coupons are paid 2 times per year and the Bond maturity is 01/12/2028
DateClean price
21/08/2026102.30%
19/08/2026102.30%
14/08/2026102.30%
11/08/2026102.30%
06/08/2026102.30%
05/08/2026102.30%
31/07/2026102.30%
28/07/2026102.30%
23/07/2026102.30%
20/07/2026102.30%
11/07/2026102.30%
12/06/2026100.18%
11/06/2026100.18%
09/06/202699.10%
05/06/202699.10%
03/06/2026100.00%
01/06/2026100.25%
28/05/202699.68%
27/05/202699.50%
22/05/202699.50%
21/05/202697.65%
20/05/202697.06%
15/05/202697.06%
14/05/202697.06%
13/05/202698.50%
11/05/2026100.02%
08/05/2026100.02%
07/05/2026100.02%
06/05/202698.00%
05/05/202698.02%
04/05/202699.59%
30/04/202699.59%
29/04/202698.25%
28/04/202699.05%
27/04/202698.87%
24/04/202698.87%
23/04/2026100.27%
22/04/2026100.27%
21/04/202699.27%
17/04/202699.38%
16/04/202699.25%
15/04/202699.25%
14/04/202699.45%
13/04/202698.65%
10/04/202699.19%
08/04/202696.88%
07/04/202696.88%
06/04/202698.13%
03/04/202696.88%
02/04/202698.13%
31/03/202697.75%
30/03/202699.02%
27/03/202696.25%
26/03/202696.63%
25/03/202697.00%
24/03/202697.00%
20/03/202697.27%
19/03/202697.29%
18/03/202698.00%
16/03/202697.75%
13/03/202697.25%
26/02/2026102.13%
24/02/2026102.00%