Corporate bonds

USU1638HAB3
CIVITAS RES. 23/31 REGS
Yield to maturity
9.93%
Maturity date
Jul 1, 2031
CR4594953
Crane NXT, Co. 4.2% 15-MAR-2048
Yield to maturity
9.91%
Maturity date
Mar 15, 2048
F
FPOC5732743
Five Point Operating Co. LP 10.5% 15-JAN-2028
Yield to maturity
9.91%
Maturity date
Jan 15, 2028
U
USU91505AW4
UNIVIS.COMM 24/31 REGS
Yield to maturity
9.90%
Maturity date
Jul 31, 2031
C
SID5711929
CSN Resources SA 8.875% 05-DEC-2030
Yield to maturity
9.90%
Maturity date
Dec 5, 2030
F
FGP5150663
Ferrellgas Escrow LLC 5.875% 01-APR-2029
Yield to maturity
9.90%
Maturity date
Apr 1, 2029
NO1337944
NAV. HLDGS 24/29
Yield to maturity
9.89%
Maturity date
Oct 30, 2029
T
TEN5635584
Tenneco Inc. 8.0% 17-NOV-2028
Yield to maturity
9.88%
Maturity date
Nov 17, 2028
S
BID4959757
Sotheby's, Inc. 7.375% 15-OCT-2027
Yield to maturity
9.84%
Maturity date
Oct 15, 2027
N
QGOG5925418
NewCo Holding USD 20 SARL 9.375% 07-NOV-2029
Yield to maturity
9.84%
Maturity date
Nov 7, 2029
S
SABR5648517
Sabre GLBL, Inc. 8.625% 01-JUN-2027
Yield to maturity
9.83%
Maturity date
Jun 1, 2027

See more bonds 


M
MR39D
Generacion Mediterranea SA 11.0% 01-NOV-2031
Yield to maturity
25.51%
Maturity date
Nov 1, 2031
AAPL5123995
Apple Inc. 1.2% 08-FEB-2028
Yield to maturity
4.12%
Maturity date
Feb 8, 2028
T
TM5732713
Toyota Motor Credit Corporation 5.0% 22-JAN-2029
Yield to maturity
4.99%
Maturity date
Jan 22, 2029
GME6042202
GameStop Corp. 0.0% 01-APR-2030
Yield to maturity
−3.21%
Maturity date
Apr 1, 2030
PEPE
PEPSICO INC 2015-30.4.25 GLOBAL SR
Yield to maturity
13.72%
Maturity date
Apr 30, 2025
1
1BE2
BERKSHIRE HATH. FIN.10/40
Yield to maturity
5.00%
Maturity date
Jan 15, 2040
M
MRCAO
Generacion Mediterranea SA 9.875% 01-DEC-2027
Yield to maturity
−38.54%
Maturity date
Dec 1, 2027
P
PNDCO
Pan American Energy S.L. 9.125% 30-APR-2027
Yield to maturity
−49.94%
Maturity date
Apr 30, 2027
P
PTRB4808419
Petrobras Global Finance BV 6.9% 19-MAR-2049
Yield to maturity
7.80%
Maturity date
Mar 19, 2049
B
BBL6033605
Bangkok Bank Plc (Hong Kong Branch) 6.056% 25-MAR-2040
Yield to maturity
6.33%
Maturity date
Mar 25, 2040
Rates
SymbolYield to maturityMaturity date
SymbolMaturity date / YTM
DB 4.6% 25
XS0460039182
7.59%
Jul 21, 2025
Public Storage FRN 25-JUL-2025
PSA5623051
4.67%
Jul 25, 2025
SymbolYield to maturityMaturity date
SymbolMaturity date / YTM
G
GACI F.INV. 22/2122 MTN
XS254216267
7.00%
Oct 13, 2122
NORFOLK STH. 21/2121
US655844CJ5
6.66%
May 15, 2121
NORFOLK SOUTHERN 18/2118
NFSE
6.29%
Aug 1, 2118
M
MASSA.INST.OF TECHN. 2116
US575718AF8
6.37%
Jul 1, 2116
C
CAN.PAC.KAN. 2115
US13645RAX2
6.33%
Sep 15, 2115
P
PETROBRAS GBL FIN.15/2115
5P0E
8.15%
Jun 5, 2115
SymbolYield to maturityCoupon
SymbolCoupon / YTM