Bond Oman 7.375% ( XS2234859283 ) in USD

Issuer Oman
Market price refresh price now   112.27 %  ▼ 
Country  Oman
ISIN code  XS2234859283 ( in USD )
Interest rate 7.375% per year ( payment 2 times a year)
Maturity 27/10/2032



Prospectus brochure in PDF format

Minimal amount 1 000 USD
Total amount 1 050 000 000 USD
Next Coupon 28/10/2026 ( In 23 days )
Detailed description Oman is a sultanate on the southeastern coast of the Arabian Peninsula, known for its stunning landscapes, rich history, and stable political climate.

The Bond issued by Oman ( Oman ) , in USD, with the ISIN code XS2234859283, pays a coupon of 7.375% per year.
The coupons are paid 2 times per year and the Bond maturity is 27/10/2032
DateClean price
15/04/2026114.01%
29/01/2026113.99%
27/11/2025115.36%
02/10/2025116.24%
13/08/2025115.33%
16/06/2025112.00%
02/04/2025110.86%
07/08/2024100.00%
03/11/2023106.48%
17/09/2023108.02%
24/08/2023108.19%
01/08/2023111.21%
19/07/2023111.21%
25/06/2023111.21%
01/06/2023111.21%
08/05/2023111.21%
23/04/2023109.13%
30/03/2023109.13%
06/03/2023109.13%
19/02/2023110.15%
29/01/2023111.75%
19/01/2023110.45%
28/12/2022108.52%
06/12/2022109.07%
14/11/2022106.81%
24/10/202299.20%
05/10/2022101.99%
18/09/2022105.34%
01/09/2022107.14%
15/08/2022111.54%
30/07/2022106.08%
15/07/202299.02%
29/06/2022104.84%
14/06/2022103.56%
31/05/2022110.59%
16/05/2022106.83%
01/05/2022110.01%
15/04/2022113.33%
31/03/2022114.22%
16/03/2022113.08%
02/03/2022111.99%
13/02/2022111.77%
27/01/2022113.22%
07/01/2022115.16%
21/12/2021116.45%
05/12/2021113.94%
19/11/2021114.02%
05/11/2021116.11%
22/10/2021115.50%
09/10/2021113.93%
24/09/2021114.90%
06/09/2021116.84%
23/08/2021114.75%
11/08/2021115.01%
29/07/2021113.97%
16/07/2021113.89%
03/07/2021113.70%
19/06/2021114.17%
04/06/2021113.45%
17/05/2021114.00%
29/04/2021114.34%
08/04/2021112.24%
22/03/2021112.27%