TEVA 5.125 29 (US88167AAQ40)
Bond calculator and reference for TEVA 5.125 29 issued by Teva Pharmaceutical Finance Netherlands III B.V. maturing 2029. Live price, yield to maturity, spread, duration and the full cash-flow schedule in one place.
Bond details
- Issuer: Teva Pharmaceutical Finance Netherlands III B.V. bonds
- Issuer ratings: Moody's: Baa3 / S&P: BB+ / Fitch: BBB-
- Coupon: 5.125%
- Coupon frequency: semiannual
- Maturity: 2029
- Structure: Bullet, Callable, Variable coupon
- Day count: 30/360
- Settlement: T+2
- Face value: USD 1,000
- Minimum denomination: USD 200,000
- Governing law: NY
- Country of risk: Israel
- Amount issued: USD 1,000,000,000
- Amount outstanding: USD 1,000,000,000
- ISIN: US88167AAQ40
- Ticker: TEVA 5.125 29
Documents
What you can analyze
- Clean price and dirty price
- Yield, spread, duration and convexity
- Full coupon and cash-flow schedule
Frequently asked questions
What is the ISIN of the TEVA 5.125 29 bond?
The ISIN is US88167AAQ40.
What coupon does TEVA 5.125 29 pay?
TEVA 5.125 29 pays a 5.125% coupon.
When does TEVA 5.125 29 mature?
TEVA 5.125 29 matures in 2029.
What currency is TEVA 5.125 29 denominated in?
TEVA 5.125 29 is denominated in USD.
Who issued TEVA 5.125 29?
TEVA 5.125 29 was issued by Teva Pharmaceutical Finance Netherlands III B.V..
Where can I check the live price and yield of TEVA 5.125 29?
BondTerminal's free bond calculator shows the live price, yield to maturity, spread, duration and full cash-flow schedule for TEVA 5.125 29 (US88167AAQ40).
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