Petrobras Global Finance bonds
10 USD bonds tracked for Petrobras Global Finance, maturing 2028–2115. Compare dated prices, yields and scheduled payments.
Legal name: Petrobras Global Finance B.V.
10 tracked issues for Petrobras Global Finance B.V., denominated in USD. Scheduled final maturities range from 27 JAN 28 to 5 JUN 15. Recorded governing law: NY.
Updated 7 SEP 26.
Figures cover the bonds listed on this page.
Bond prices, yields and maturities
Compare Petrobras Global Finance bonds
| Bond | ISIN | Currency | Price per 100 | Yield to worst | Coupon | Maturity | Price date | G-spread (bp) | Modified duration (years) | Outst (USDm) | Seniority | Curve coverage |
|---|---|---|---|---|---|---|---|---|---|---|---|---|
| PETBRA 5.999 28 | US71647NAY58 | USD | 101.554 | 4.88% | 5.999% | 27 JAN 28 | 3 SEP 26 | 68.0 | 1.28 | 5,401 | Not documented | Included in fit |
| PETBRA 5.125 30 | US71647NBM02 | USD | 98.353 | 5.66% | 5.125% | 10 SEP 30 | 3 SEP 26 | 120.0 | 3.39 | 1,000 | Not documented | Included in fit |
| PETBRA 5.6 31 | US71647NBH17 | USD | 99.898 | 5.70% | 5.6% | 3 JAN 31 | 3 SEP 26 | 122.0 | 3.66 | 1,500 | Not documented | Included in fit |
| PETBRA 6.5 33 | US71647NBK46 | USD | 101.805 | 6.25% | 6.5% | 3 JUL 33 | 3 SEP 26 | 164.0 | 5.25 | 1,250 | Not documented | Included in fit |
| PETBRA 6 35 | US71647NBL29 | USD | 98.775 | 6.28% | 6% | 13 JAN 35 | 3 SEP 26 | 158.0 | 6.23 | 1,000 | Not documented | Curve outlier |
| PETBRA 6.25 36 | US71647NBN84 | USD | 97.420 | 6.73% | 6.25% | 10 JAN 36 | 3 SEP 26 | 199.0 | 6.67 | 1,000 | Not documented | Curve outlier |
| PETBRA 6.75 41 | US71645WAS08 | USD | 98.604 | 7.02% | 6.75% | 27 JAN 41 | 3 SEP 26 | 204.0 | 8.71 | 1,000 | Not documented | Included in fit |
| PETBRA 7.25 44 | US71647NAK54 | USD | 101.885 | 7.18% | 7.25% | 17 MAR 44 | 3 SEP 26 | 205.0 | 9.27 | 1,000 | Not documented | Included in fit |
| PETBRA 5.5 51 | US71647NBJ72 | USD | 79.547 | 7.42% | 5.5% | 10 JUN 51 | 3 SEP 26 | 217.0 | 11.44 | 1,500 | Not documented | Included in fit |
| PETBRA 6.85 15 | US71647NAN93 | USD | 93.376 | 7.46% | 6.85% | 5 JUN 15 | 3 SEP 26 | 221.0 | 12.91 | 2,500 | Not documented | Included in fit |
Next scheduled payments
- 10 SEP 26 · coupon · PETBRA 5.125 30 · USD 0.0256 billion
- 17 SEP 26 · coupon · PETBRA 7.25 44 · USD 0.0362 billion
- 7 DEC 26 · coupon · PETBRA 6.85 15 · USD 0.0856 billion
- 10 DEC 26 · coupon · PETBRA 5.5 51 · USD 0.0413 billion
- 4 JAN 27 · coupon · PETBRA 5.6 31 · USD 0.0420 billion
- 4 JAN 27 · coupon · PETBRA 6.5 33 · USD 0.0406 billion
Scheduled principal by year
Scheduled principal repayments for the listed bonds.
| Year | Principal |
|---|---|
| 2028 | USD 5.4006 billion |
| 2030 | USD 1.0000 billion |
| 2031 | USD 1.5000 billion |
| 2033 | USD 1.2500 billion |
| 2035 | USD 1.0000 billion |
| 2036 | USD 1.0000 billion |
| 2041 | USD 1.0000 billion |
| 2044 | USD 1.0000 billion |
| 2051 | USD 1.5000 billion |
| 2115 | USD 2.5000 billion |
Credit ratings & history
Credit ratings
No issuer ratings available.
Rating & credit history
No credit history available.
History may be incomplete. “Recorded” dates indicate when we saved the rating.