YPF bonds
10 USD bonds tracked for YPF, maturing 2027–2047. Compare dated prices, yields and scheduled payments.
Legal name: YPF S.A.
10 tracked issues for YPF S.A., denominated in USD. Scheduled final maturities range from 21 JUL 27 to 15 DEC 47. Recorded governing law: AR, NY.
Updated 7 SEP 26.
Figures cover the bonds listed on this page.
Bond prices, yields and maturities
| Bond | ISIN | Currency | Price per 100 | Yield to worst | Coupon | Maturity | Price date | G-spread (bp) | Modified duration (years) | Outst (USDm) | Seniority | Curve coverage |
|---|---|---|---|---|---|---|---|---|---|---|---|---|
| YPFDAR 6.95 27 · YCAMD | USP989MJBL47 | USD | 102.402 | 4.17% | 6.95% | 21 JUL 27 | 4 SEP 26 | 8.0 | 0.82 | 1,000 | Not documented | Included in fit |
| YPFDAR 7.5 27 · YM38D | AR0419238511 | USD | 96.934 | 11.72% | 7.5% | 22 JUL 27 | 4 SEP 26 | 763.0 | 0.75 | 250 | Not documented | Curve outlier |
| YPFDAR 7 29 · YM42D | AR0123407162 | USD | 98.516 | 7.81% | 7% | 2 MAR 29 | 2 SEP 26 | 339.0 | 2.13 | 195 | Not documented | Included in fit |
| YPFDAR 9 29 · YMCID | USP989MJBS99 | USD | 88.264 | 6.93% | 9% | 30 JUN 29 | 4 SEP 26 | 278.0 | 1.36 | 641 | Not documented | Included in fit |
| YPFDAR 8.75 30 · YM39D | AR0081455617 | USD | 104.226 | 7.40% | 8.75% | 22 JUL 30 | 4 SEP 26 | 309.0 | 3.11 | 225 | Not documented | Included in fit |
| YPFDAR 9.5 31 | USP989MJBU46 | USD | 95.210 | 6.82% | 9.5% | 17 JAN 31 | 3 SEP 26 | 248.0 | 1.99 | 720 | Senior Secured | Included in fit |
| YPFDAR 8.75 31 · YMCXD | USP989MJBV29 | USD | 105.572 | 6.78% | 8.75% | 11 SEP 31 | 4 SEP 26 | 286.0 | 3.37 | 541 | Not documented | Included in fit |
| YPFDAR 7 33 · YMCJD | USP989MJBT72 | USD | 99.747 | 7.18% | 7% | 30 SEP 33 | 4 SEP 26 | 260.0 | 4.23 | 576 | Not documented | Included in fit |
| YPFDAR 8.25 34 · YM34D | USP989MJBY67 | USD | 104.004 | 7.28% | 8.25% | 17 JAN 34 | 4 SEP 26 | 297.0 | 4.74 | 1,100 | Not documented | Included in fit |
| YPFDAR 7 47 | USP989MJBN03 | USD | 91.720 | 7.95% | 7% | 15 DEC 47 | 3 SEP 26 | 270.0 | 9.97 | 750 | Not documented | Included in fit |
Next scheduled payments
- 11 SEP 26 · coupon · YPFDAR 8.75 31 · USD 0.0237 billion
- 30 SEP 26 · coupon · YPFDAR 7 33 · USD 0.0201 billion
- 22 OCT 26 · coupon · YPFDAR 7.5 27 · USD 0.0047 billion
- 2 DEC 26 · coupon · YPFDAR 7 29 · USD 0.0068 billion
- 15 DEC 26 · coupon · YPFDAR 7 47 · USD 0.0263 billion
- 30 DEC 26 · amortization · YPFDAR 9 29 · USD 0.1068 billion
Scheduled principal by year
Scheduled principal repayments for the listed bonds.
| Year | Principal |
|---|---|
| 2026 | USD 0.1068 billion |
| 2027 | USD 1.6237 billion |
| 2028 | USD 0.3737 billion |
| 2029 | USD 0.5699 billion |
| 2030 | USD 0.6368 billion |
| 2031 | USD 0.5483 billion |
| 2032 | USD 0.4739 billion |
| 2033 | USD 0.4739 billion |
| 2034 | USD 0.4400 billion |
| 2047 | USD 0.7500 billion |
Credit ratings & history
Credit ratings
- YPF S.A. · Fitch · Long-term issuer · Global
Rating: B- · Action 26 MAY 26 · Rating source
Outlook: Stable · Action 26 MAY 26 · Outlook source - YPF S.A. · Moody’s · Long-term issuer · Global
Rating: B1 · Action 22 JUL 26 · Rating source
Outlook: Stable · Recorded 22 JUL 25 · Outlook source - YPF S.A. · S&P · Long-term issuer · Global
Rating: B · Action 11 JUN 26 · Rating source
Outlook: Stable · Action 11 JUN 26 · Outlook source
Rating & credit history
- 22 JUL 26 · YPF S.A. · Moody’s · Upgrade · B2 → B1 · Long-term issuer · Global · Issuer source
- 11 JUN 26 · YPF S.A. · S&P · Upgrade · B- → B · Outlook stable · Long-term issuer · Global · Agency source
- 26 MAY 26 · YPF S.A. · Fitch · Upgrade · CCC+ → B- · Outlook stable · Long-term issuer · Global · Agency source
History may be incomplete. “Recorded” dates indicate when we saved the rating.