LYB 0.875% 17 Sep 2026 (EUR)

Bond Summary

ISIN: XS2052310054. Issued by LYB INTERNATIONAL FINANC. Currency: EUR. Mid Price: 99.842. Mid Yield: 2.59%. Maturity: 2026-09-17. View full details on WealthLinc.

Data provided by WealthLinc, a wealth management platform for family offices and independent asset managers.

Key Metrics

Key financial data for LYB 0.875% 17 Sep 2026 (EUR)
MetricValue
ISINXS2052310054
IssuerLYB INTERNATIONAL FINANC
CurrencyEUR
Coupon0.875%
Maturity17 September 2026
Mid Price (Clean)99.842
Mid Yield2.59%

Frequently Asked Questions

What is the ISIN of LYB 0.875% 17 Sep 2026 (EUR)?

The ISIN is XS2052310054.

What is the current yield?

The mid yield is 2.59%. Data provided by WealthLinc.

What is the current price?

The mid clean price is 99.842 EUR.

Who issued this bond?

This bond was issued by LYB INTERNATIONAL FINANC.