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2 October 2026, 23:32
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US101_3302

United States Department of the Treasury coupon international bonds US91282CGM73 Last coupon rate, % APR : 3,500
Days to maturity: 2 328
Circulation period: 15.02.23 – 15.02.33
Characteristics
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Characteristics

Bond's namecoupon international bonds
Currency of issue and serviceUSD
Nominal value in issue's currency1,00
Number of registered bonds114 701 000 000
Issue volume, USD114 701 000 000
ISINUS91282CGM73
Current coupon rate, % APR3,500
Settlement basis (days in month / days in yearactual/actual
Date of circulation start15.02.23
Circulation term, years10,00
Circulation term, days3 653
Register fixation date at maturity14.02.33
Maturity date15.02.33
Trading codeUS101_3302
List of securitiesofficial, mix board, category "government securities"
System of quotationclean price
Unit of quotationnominal value percentage fraction
Quotation accuracy4 characters
Trade lists admission date29.11.23
Quotation currencyUSD
Trade opening date28.05.24
Number of bonds outstanding114 701 000 000
Number of securities in one lot1 000,0
Market Makers –
Date of the previous coupon payment15.08.26
Number of days till nearest coupon payment136
Registry fixation date of the nearest coupon payment12.02.27
Date of the next coupon payment15.02.27

Actual information

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