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Bond Issues: Eurobonds Peru, 2037

Issue information:

• Issuer, issue number: Peru, 2037
• Income calculation:

Date of trades
Price %
• Type of debt instrument: Eurobonds
• Type of bonds: Coupon bonds
• Issue status: outstanding
• Type of placement: public
• Par, minimum denomination: USD, 1 000.0
• Par, integral multiple: USD, 1 000.0
• Amount: 1 202 000 000
• Outstanding amount: 1 202 000 000
• ISIN RegS: US715638AU64
• Common Code RegS: 028804865
• Day Count Fraction: Actual/360
• End of placement: Mar 14 2007
• Coupon: 6.550%
• Coupon frequency: 2 time(s) per year
• Settlement Date: Mar 14 2007
• Maturity date: Mar 14 2037
• Issue Managers: CITIGROUP, Deutsche Bank Securities
• Listing: Luxembourg Stock Exchange
• Additional information: Exchange bonds
• Files: Prospectus

Borrower:

• Issuer:Peru
• Full issuer name:Republic of Peru
• Country:Peru
• Region:Latin America
• Other issues of the issuer (including related companies issues):  Peru, 2050 - Eurobonds
 Peru, 2031, PEN - Eurobonds
 Peru, 2025 - Eurobonds
 Peru, 2020, PEN - Eurobonds
 Peru, 2014 - Eurobonds
All issues of the issuer
• Issuer profile:Issuance of Peruvian global bonds reached USD 6.4bn in 2010. The government of Peru issued USD 2.5bn in global bonds, including PEN 4.2bn (USD 1.5 bn) of Peruvian new sol denominated bonds due 2020 an ...
Issuer ratings: » rating history

Moody's Investors Service Baa3/Positive Int. Scale (foreign curr) 21.03.2011
Moody's Investors Service Baa3/Stable Int. Scale (loc. curr.) 21.03.2011
Standard & Poor's BBB/Stable Int. Scale (foreign curr.) 30.08.2011
Fitch Ratings BBB/Stable Int. Scale (foreign curr.) 10.11.2011
Fitch Ratings BBB+/Stable Int.l Scale (local curr.) 10.11.2011

Complete profile

Trading info:

OTC MARKET

Quote bid/offer: ***
YTM bid/offer: ***
Weighted average price (Feb 10 2012): ***
YTM: ***
  • Archive review is available only for subscribers ""Cbonds-PRO EM", "Cbonds-Premium"".
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Trading info, archive >>>

LUXEMBOURG S.E.

Weighted average price (Feb 07 2012): ***
YTM: ***
  • Archive review is available only for subscribers ""Cbonds-PRO EM", "Cbonds-Premium"".
  • Search by the trading floor "Luxembourg S.E." is available to subscribers of "Cbonds-PRO EM", "Cbonds-Premium" only.
Trading info, archive >>>

Payment schedule:

# Date Coupon, % p.a. Coupon size, USD Par redemption, USD
1 14.09.2007 6.55 33.48
2 14.03.2008 6.55 33.11
3 14.09.2008 6.55 33.48
4 14.03.2009 6.55 32.93
5 14.09.2009 6.55 33.48
6 14.03.2010 6.55 32.93
7 14.09.2010 6.55 33.48
8 14.03.2011 6.55 32.93
9 14.09.2011 6.55 33.48
10 14.03.2012 6.55 33.11
11 14.09.2012 6.55 33.48
12 14.03.2013 6.55 32.93
13 14.09.2013 6.55 33.48
14 14.03.2014 6.55 32.93
15 14.09.2014 6.55 33.48
16 14.03.2015 6.55 32.93
17 14.09.2015 6.55 33.48
18 14.03.2016 6.55 33.11
19 14.09.2016 6.55 33.48
20 14.03.2017 6.55 32.93
21 14.09.2017 6.55 33.48
22 14.03.2018 6.55 32.93
23 14.09.2018 6.55 33.48
24 14.03.2019 6.55 32.93
25 14.09.2019 6.55 33.48
26 14.03.2020 6.55 33.11
27 14.09.2020 6.55 33.48
28 14.03.2021 6.55 32.93
29 14.09.2021 6.55 33.48
30 14.03.2022 6.55 32.93
31 14.09.2022 6.55 33.48
32 14.03.2023 6.55 32.93
33 14.09.2023 6.55 33.48
34 14.03.2024 6.55 33.11
35 14.09.2024 6.55 33.48
36 14.03.2025 6.55 32.93
37 14.09.2025 6.55 33.48
38 14.03.2026 6.55 32.93
39 14.09.2026 6.55 33.48
40 14.03.2027 6.55 32.93
41 14.09.2027 6.55 33.48
42 14.03.2028 6.55 33.11
43 14.09.2028 6.55 33.48
44 14.03.2029 6.55 32.93
45 14.09.2029 6.55 33.48
46 14.03.2030 6.55 32.93
47 14.09.2030 6.55 33.48
48 14.03.2031 6.55 32.93
49 14.09.2031 6.55 33.48
50 14.03.2032 6.55 33.11
51 14.09.2032 6.55 33.48
52 14.03.2033 6.55 32.93
53 14.09.2033 6.55 33.48
54 14.03.2034 6.55 32.93
55 14.09.2034 6.55 33.48
56 14.03.2035 6.55 32.93
57 14.09.2035 6.55 33.48
58 14.03.2036 6.55 33.11
59 14.09.2036 6.55 33.48
60 14.03.2037 6.55 32.93 1 000.0




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