Bank Hapoalim bonds

3 USD bonds tracked for Bank Hapoalim, maturing 2029–2033. Compare dated prices, yields and scheduled payments.

Legal name: Bank Hapoalim B.M.

3 tracked issues for Bank Hapoalim B.M., denominated in USD. Scheduled final maturities range from 14 JUL 29 to 14 JAN 33. Recorded governing law: NY.

Updated 7 SEP 26.

Figures cover the bonds listed on this page.

Bond prices, yields and maturities

Compare Bank Hapoalim bonds

BondISINCurrencyPrice per 100Yield to worstCouponMaturityPrice dateG-spread (bp)Modified duration (years)Outst (USDm)SeniorityCurve coverage
HAPOAL 4.722 29 IL0012343849USD 98.3835.40% 4.722%14 JUL 29 3 SEP 26 100.02.55 1,000 Not documentedEligible; no fitted curve
HAPOAL 3.255 32 IL0066204707USD 99.8183.32% 3.255%21 JAN 32 3 SEP 26 -122.04.80 1,000 Not documentedEligible; no fitted curve
HAPOAL 5.252 33 IL0012338161USD 98.0225.70% 5.252%14 JAN 33 3 SEP 26 110.05.14 1,000 Not documentedEligible; no fitted curve

Next scheduled payments

Scheduled principal by year

Scheduled principal repayments for the listed bonds.

YearPrincipal
2029USD 1.0000 billion
2032USD 1.0000 billion
2033USD 1.0000 billion
Credit ratings & history

Credit ratings

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Rating & credit history

No credit history available.

History may be incomplete. “Recorded” dates indicate when we saved the rating.

Bond documents