BOND LYB INTERNATIONAL FINANCE II B.V. 1.625% GTD SNR 17/09/31 EUR
Change-0.02 (-0.02%) Bid90.04% Ask90.76% Last updateDec 23, 2025
13:05:36.662
UTC
ISIN
XS2052313827
Issuer
LYB International Finance II B.V.
Issuer type
Companies
Issuer country
Netherlands
Coupon
1.62%
Currency
EUR
Maturity date
Sep 17, 2031
Yield to maturity
3.57%
Bid
90.04
Ask
90.76
Diff. %
-0.02%
Coupon type
Fixed
Last update
Dec 23, 2025
13:05:36.662