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Bond Issues: Eurobonds Peru, 2033 (US715638AP79)

Issue information:

• Issuer, issue number: Peru, 2033
• 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, 100 000.0
• Par, integral multiple: USD, 1 000.0
• Amount: 2 245 439 000
• Initial issue amount: 500 000 000
• ISIN RegS: US715638AP79
• Common Code RegS: 018096145
• Day Count Fraction: 30/360 (30/360 ISDA)
• Start of placement: Nov 14 2003
• End of placement: Apr 09 2010
• Coupon: 8.750%
• Coupon frequency: 2 time(s) per year
• Settlement Date: Nov 21 2003
• Maturity date: Nov 21 2033
• Issue Managers: Lead manager: JP Morgan, ñî-managers:Citigroup, Deutsche
• Listing: Luxembourg Stock Exchange
Berlin Exchange
• Files: Prospectus
Prospectus Tap2
Prospectus Tap3
Announcement

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 (May 25 2012): ***
YTM: ***
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  • Search by the trading floor "OTC Market" is available to subscribers of "Cbonds-PRO EM", "Cbonds-Premium" only.
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SIX

Legal close price (May 25 2012): ***
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FRANKFURT S.E.

Quote bid/offer: ***
YTM bid/offer: ***
Weighted average price (May 25 2012): ***
YTM: ***
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  • Search by the trading floor "Frankfurt S.E." is available to subscribers of "Cbonds-PRO EM", "Cbonds-Premium" only.
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BERLIN EXCHANGE

Last price (May 25 2012): ***
YTM (last): ***
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LUXEMBOURG S.E.

Weighted average price (May 22 2012): ***
YTM: ***
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  • Search by the trading floor "Luxembourg S.E." is available to subscribers of "Cbonds-PRO EM", "Cbonds-Premium" only.
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Tap issues:

# Date Amount Price Bookrunners Additional information
1 03.02.2005 400 000 000
2 14.03.2007 84 636 000 129.4000
3 09.04.2010 1 260 803 000 131.9710 Barclays Capital,
HSBC
The 2033 Bonds issued in exchange for 2012 Bonds, 2014 Bonds, 2015 Bonds, 2016 Bonds. No new money raised.

Payment schedule:

# Date Coupon, % p.a. Coupon size, USD Par redemption, USD
1 21.05.2004 8.75 4375
2 21.11.2004 8.75 4375
3 21.05.2005 8.75 4375
4 21.11.2005 8.75 4375
5 21.05.2006 8.75 4375
6 21.11.2006 8.75 4375
7 21.05.2007 8.75 4375
8 21.11.2007 8.75 4375
9 21.05.2008 8.75 4375
10 21.11.2008 8.75 4375
11 21.05.2009 8.75 4375
12 21.11.2009 8.75 4375
13 21.05.2010 8.75 4375
14 21.11.2010 8.75 4375
15 21.05.2011 8.75 4375
16 21.11.2011 8.75 4375
17 21.05.2012 8.75 4375
18 21.11.2012 8.75 4375
19 21.05.2013 8.75 4375
20 21.11.2013 8.75 4375
21 21.05.2014 8.75 4375
22 21.11.2014 8.75 4375
23 21.05.2015 8.75 4375
24 21.11.2015 8.75 4375
25 21.05.2016 8.75 4375
26 21.11.2016 8.75 4375
27 21.05.2017 8.75 4375
28 21.11.2017 8.75 4375
29 21.05.2018 8.75 4375
30 21.11.2018 8.75 4375
31 21.05.2019 8.75 4375
32 21.11.2019 8.75 4375
33 21.05.2020 8.75 4375
34 21.11.2020 8.75 4375
35 21.05.2021 8.75 4375
36 21.11.2021 8.75 4375
37 21.05.2022 8.75 4375
38 21.11.2022 8.75 4375
39 21.05.2023 8.75 4375
40 21.11.2023 8.75 4375
41 21.05.2024 8.75 4375
42 21.11.2024 8.75 4375
43 21.05.2025 8.75 4375
44 21.11.2025 8.75 4375
45 21.05.2026 8.75 4375
46 21.11.2026 8.75 4375
47 21.05.2027 8.75 4375
48 21.11.2027 8.75 4375
49 21.05.2028 8.75 4375
50 21.11.2028 8.75 4375
51 21.05.2029 8.75 4375
52 21.11.2029 8.75 4375
53 21.05.2030 8.75 4375
54 21.11.2030 8.75 4375
55 21.05.2031 8.75 4375
56 21.11.2031 8.75 4375
57 21.05.2032 8.75 4375
58 21.11.2032 8.75 4375
59 21.05.2033 8.75 4375
60 21.11.2033 8.75 4375 100 000.0




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