Bond Oi 10% ( USP7354PAA23 ) in USD

Issuer Oi
Market price 104.18 %  ▲ 
Country  Brazil
ISIN code  USP7354PAA23 ( in USD )
Interest rate 10% per year ( payment 2 times a year)
Maturity 26/07/2025 - Bond has expired



Prospectus brochure in PDF format

Minimal amount 1 000 USD
Total amount 1 655 600 000 USD
Cusip P7354PAA2
Standard & Poor's ( S&P ) rating CCC+ ( Substantial risks )
Moody's rating N/A
Detailed description The term "Oi" primarily functions as an informal English interjection for greeting or attracting attention, but it is also the name of a major Brazilian telecommunications company.

Brazilian Oi S.A. issued a USD-denominated bond (CUSIP: P7354PAA2, ISIN: USP7354PAA23) with a 10% interest rate, a maturity date of July 26, 2025, a minimum purchase size of 1000, and a total issuance size of $1,655,600,000, currently trading at 0.1% of par, paying coupons semi-annually and rated CCC+ by Standard & Poor's.
DateClean price
07/07/20250.25%
28/04/20250.25%
13/02/20250.25%
03/01/20250.25%
02/11/20240.10%
11/09/20240.50%
07/08/2024100.00%
17/06/20242.04%
11/12/20231.05%
08/11/20234.54%
21/09/20234.13%
29/08/20233.00%
06/08/20233.42%
13/07/20233.96%
19/06/20233.98%
27/05/20234.00%
03/05/20234.39%
11/04/20235.20%
25/03/20234.93%
13/03/20237.33%
24/02/20235.82%
03/02/20238.00%
24/01/202310.54%
14/01/202310.50%
22/12/202212.50%
30/11/202217.50%
08/11/202221.75%
19/10/202222.00%
01/10/202224.81%
13/09/202239.68%
28/08/202241.89%
12/08/202247.66%
28/07/202246.89%
13/07/202248.69%
28/06/202253.89%
13/06/202268.79%
30/05/202276.62%
15/05/202277.33%
30/04/202280.00%
14/04/202277.91%
30/03/202275.63%
15/03/202275.68%
28/02/202283.03%
10/02/202285.54%
26/01/202283.27%
06/01/202284.78%
21/12/202187.77%
04/12/202189.23%
18/11/202191.63%
04/11/202191.75%
21/10/202194.26%
08/10/202194.89%
22/09/202194.01%
05/09/202196.33%
23/08/202198.84%
10/08/202199.85%
29/07/202199.50%
17/07/2021102.94%
03/07/2021102.86%
19/06/2021102.06%
04/06/202198.90%
17/05/2021103.14%
28/04/2021104.18%