Trade Information

US149_2602

coupon international bonds US91282CKB62
United States Department of the Treasury
Last coupon rate, % APR : 4,625
Days to maturity: 434
Circulation period: 29.02.24 – 28.02.26

Last 10 deals with US149_2602
(except for special trading sessions)

Other securities United States Department of the Treasury

Symbol ISIN Sector Trades
US_04_2908 US912810FJ26
government securities 23.10.20
US_06_3011 US91282CAV37
government securities 08.02.21
US_07_4411 US912810RJ97
government securities 08.02.21
US_08_4105 US912810SY55
government securities 09.11.21
US_39_2502 US91282CDZ14
government securities 19.07.23
US_45_2501 US91282CGG06
government securities 19.07.23
US_46_2502 US91282CGN56
government securities 04.12.23
US_48_2502 US9128283Z13
government securities 05.12.23
US_56_2503 US9128284F40
government securities 26.06.24
US_62_2601 US91282CBH34
government securities 19.07.23
US_63_2505 US912828ZT04
government securities 19.07.23
US_64_2510 US9128285J52
government securities 19.07.23
US_72_5211 US912810TL26
government securities 19.07.23
US_75_2505 US91282CHD65
government securities 05.12.23
US_82_2603 US91282CBT71
government securities 12.10.23
US_84_2503 US91282CGU99
government securities 13.10.23
US_85_2606 US91282CCJ80
government securities 12.10.23
US_86_2512 US91282CGA36
government securities 13.10.23
US_87_2509 US9128285C00
government securities 13.10.23
US_88_2508 US9128284Z04
government securities 27.10.23
US_97_3205 US91282CEP23
government securities 23.11.23
US_98_2504 US91282CGX39
government securities 28.05.24
US101_3302 US91282CGM73
government securities 28.05.24
US102_3308 US91282CHT18
government securities 05.12.23
US103_3102 US912810FP85
government securities 05.12.23
US105_2612 US912828YX25
government securities 14.12.23
US106_2812 US91282CDP32
government securities 14.12.23
US107_3102 US91282CBL46
government securities 14.12.23
US108_2701 US912828V491
government securities 19.09.24
US124_2506 US91282CHL81
government securities 25.09.24
US125_2409 US91282CCX74
government securities no trade
US127_2505 US912797LB15
government securities 13.06.24
US128_2504 US912797KS58
government securities 13.06.24
US129_2503 US912797KJ59
government securities 13.06.24
US130_2501 US912797JR94
government securities 13.06.24
US131_2412 US912796ZV40
government securities 13.06.24
US132_2408 US912797KB24
government securities no trade
US133_2508 US91282CHV63
government securities 26.06.24
US134_2509 US91282CJB81
government securities 26.06.24
US135_2511 US91282CJL63
government securities 26.06.24
US140_2412 US912797LF29
government securities no trade
US141_2611 US91282CJK80
government securities 20.12.24
US142_3105 US91282CKU44
government securities 08.11.24
US143_3405 US91282CKQ32
government securities 08.11.24
US144_2506 US912797LN52
government securities no trade
US145_2507 US912797LW51
government securities no trade
US146_2508 US912797MG92
government securities no trade
US147_2509 US912797MH75
government securities no trade
US148_2510 US912797MS31
government securities no trade
US149_2602 US91282CKB62
government securities 20.12.24
US150_2601 US91282CJV46
government securities 20.12.24
Trading code:
US149_2602
List of securities:
official, mix board, category "government securities"
System of quotation:
clean price
Unit of quotation:
nominal value percentage fraction
Quotation currency:
USD
Quotation accuracy:
4 characters
Number of securities in one lot:
1 000,0
Trade lists admission date:
13.12.24
Trade opening date:
20.12.24
Market Makers:
absent
Bond's name:
coupon international bonds
Current coupon rate, % APR:
4,625
ISIN:
US91282CKB62
Currency of issue and service:
USD
Nominal value in issue's currency:
1,00
Number of registered bonds:
65 725 000 000
Issue volume, USD:
65 725 000 000
Number of bonds outstanding:
65 395 000 000
Settlement basis (days in month / days in year:
actual/actual
Date of circulation start:
29.02.24
Circulation term, years:
2,00
Circulation term, days:
730
Date of the previous coupon payment:
31.08.24
Number of days till nearest coupon payment:
69
Registry fixation date of the nearest coupon payment:
27.02.25
Date of the next coupon payment:
28.02.25
Coupon payment schedule:
Register fixation date at maturity:
27.02.26
Maturity date:
28.02.26
Highlighted news contain information on the company ratings
27.12.22 10:10 As of December 27, international bonds of US Department of Treasury of six issues included in "Government securities" sector of KASE official list
12.12.22 17:20 From December 13, international bonds US912796XY07 (US_11_2308) and US912796YT03 (US_12_2311) of US Department of Treasury will be included in "Government securities" sector of KASE official list
28.06.22 17:55 From June 29, international bonds US91282CCT62 (US_09_2408) and US912796N968 (US_10_2211) of United States Department of Treasury included in KASE official list's "Government securities" sector
13.12.21 17:30 13 securities will be included in List T+ from December 15
07.10.21 09:34 International bonds US9127964V80 (US_05_2110) of United States Department of Treasury removed from KASE official list due to circulation term expiry
25.06.21 17:30 International bonds US912810SY55 (US_08_4105) of United States Department of Treasury included in KASE official list's sector "Government Securities" as of June 28
02.02.21 17:51 International bonds US91282CAV37 (US_06_3011) and US912810RJ97 (US_07_4411) of United States Department of Treasury included in KASE official list's sector "Government Securities" from February 3
08.01.21 09:10 International bonds US9127963T44 (US_03_2101) of United States Department of Treasury removed from KASE official list due to circulation term expiry
04.12.20 09:53 From December 4 international bonds US9127964V80 (US_05_2110) of United States Department of the Treasury included in List T+ and Collateral List T+
26.11.20 16:07 International bonds US9127964V80 (US_05_2110) of United States Department of Treasury included in KASE official list's sector "Government Securities" from November 26
All issuer news