Williams Scotsman bonds

4 USD bonds tracked for Williams Scotsman, maturing 2028–2031. Compare dated prices, yields and scheduled payments.

Legal name: Williams Scotsman, Inc.

4 tracked issues for Williams Scotsman, Inc., denominated in USD. Scheduled final maturities range from 15 AUG 28 to 1 OCT 31. Recorded governing law: NY.

Updated 7 SEP 26.

Figures cover the bonds listed on this page.

Bond prices, yields and maturities

Compare Williams Scotsman bonds

BondISINCurrencyPrice per 100Yield to worstCouponMaturityPrice dateG-spread (bps)Modified duration (years)Outst (USDm)SeniorityCurve coverage
WILLIAMS 4.625 28 US96950GAE26USD 99.2765.08% 4.625%15 AUG 28 4 SEP 26 73.01.78 500 Not documentedEligible; no fitted curve
WILLIAMS 6.625 29 US96949VAM54USD 102.0965.43% 6.625%15 JUN 29 4 SEP 26 144.02.40 500 Not documentedEligible; no fitted curve
WILLIAMS 6.625 30 US96949VAN38USD 102.3375.72% 6.625%15 APR 30 4 SEP 26 150.03.01 500 Not documentedEligible; no fitted curve
WILLIAMS 7.375 31 US96949VAL71USD 103.7325.50% 7.375%1 OCT 31 4 SEP 26 206.03.94 500 Not documentedEligible; no fitted curve

Next scheduled payments

Scheduled principal by year

Scheduled principal repayments for the listed bonds.

YearPrincipal
2028USD 0.5000 billion
2029USD 0.5000 billion
2030USD 0.5000 billion
2031USD 0.5000 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.