Bond YPF 4% ( USP989MJBR17 ) in USD

Issuer YPF
Market price 79.59 %  ▼ 
Country  Argentina
ISIN code  USP989MJBR17 ( in USD )
Interest rate 4% per year ( payment 4 times a year)
Maturity 11/02/2026 - Bond has expired



Prospectus brochure of the bond YPF USP989MJBR17 in USD 4%, expired


Minimal amount /
Total amount /
Cusip P989MJBR1
Detailed description YPF is Argentina's largest integrated energy company, engaged in the exploration, production, refining, transportation, and commercialization of oil and natural gas.

The Bond issued by YPF ( Argentina ) , in USD, with the ISIN code USP989MJBR17, pays a coupon of 4% per year.
The coupons are paid 4 times per year and the Bond maturity is 11/02/2026
DateClean price
11/02/2026100.10%
10/12/2025100.10%
10/10/2025100.25%
20/08/2025101.75%
24/06/2025100.80%
11/04/2025101.25%
04/02/2025101.75%
12/01/2025101.55%
16/11/2024101.25%
27/09/2024101.13%
14/09/2024101.00%
07/08/2024100.00%
25/07/202497.18%
05/11/202398.90%
18/09/202399.00%
27/08/2023100.50%
03/08/202398.57%
11/07/2023100.83%
18/06/202399.27%
25/05/202398.40%
01/05/202395.40%
09/04/202397.45%
28/03/202394.45%
20/03/202397.18%
25/02/202398.85%
04/02/202398.38%
15/01/202398.08%
23/12/202295.85%
30/11/202291.20%
08/11/202289.25%
07/11/202289.12%
05/11/202288.90%
17/10/202282.75%
14/10/202281.25%
23/09/202281.25%
02/09/202281.25%
12/08/202281.25%
22/07/202281.25%
01/07/202281.25%
10/06/202281.25%
20/05/202281.25%
29/04/202281.25%
08/04/202281.25%
18/03/202281.25%
25/02/202281.25%
04/02/202281.25%
14/01/202281.25%
24/12/202181.25%
03/12/202181.25%
18/11/202184.15%
04/11/202184.39%
21/10/202187.20%
07/10/202187.37%
21/09/202190.37%
04/09/202190.10%
22/08/202186.68%
10/08/202184.99%
29/07/202183.99%
16/07/202184.08%
03/07/202183.34%
19/06/202184.38%
04/06/202183.24%
17/05/202182.76%
29/04/202179.59%