Bond Lebanon 6.6% ( XS0707820659 ) in USD

Issuer Lebanon
Market price refresh price now   15.05 %  ▲ 
Country  Lebanon
ISIN code  XS0707820659 ( in USD )
Interest rate 6.6% per year ( payment 2 times a year)
Maturity 26/11/2026



Prospectus brochure of the bond Lebanon XS0707820659 en USD 6.6%, maturity 26/11/2026


Minimal amount 1 000 USD
Total amount 1 600 000 000 USD
Detailed description Lebanon is a small, culturally diverse country in the Levant region of Western Asia, known for its ancient history, significant religious sites, and its current political and economic instability.

The Bond issued by Lebanon ( Lebanon ) , in USD, with the ISIN code XS0707820659, pays a coupon of 6.6% per year.
The coupons are paid 2 times per year and the Bond maturity is 26/11/2026
DateClean price
07/08/2024100.00%
15/11/20236.23%
29/09/20236.92%
29/08/202313.30%
05/08/202313.30%
12/07/202313.30%
18/06/202313.30%
25/05/202313.30%
01/05/202313.30%
07/04/202313.30%
14/03/202313.30%
19/02/202313.30%
27/01/202313.30%
04/01/202313.30%
12/12/202213.30%
19/11/202213.30%
27/10/202213.30%
06/10/202213.30%
15/09/202213.30%
25/08/202213.30%
04/08/202213.30%
14/07/202213.30%
23/06/202213.30%
02/06/202213.30%
12/05/202213.30%
21/04/202213.30%
31/03/202213.30%
10/03/202213.30%
17/02/202213.30%
27/01/202213.30%
06/01/202213.30%
16/12/202113.30%
25/11/202113.30%
04/11/202113.30%
14/10/202113.30%
23/09/202113.30%
02/09/202113.30%
12/08/202113.30%
22/07/202113.30%
01/07/202113.30%
10/06/202113.30%
20/05/202113.30%
29/04/202113.30%
08/04/202113.30%
21/03/202113.30%
04/03/202113.30%
15/02/202113.30%
30/01/202113.30%
14/01/202113.30%
28/12/202013.30%
11/12/202013.30%
28/11/202013.56%
14/11/202015.05%