Corporate debt securities
Below is the list of LyondellBasell Industries NV bonds, sorted by yield to worst. Investors often opt for a company's bonds for their increased stability in times of market volatility. Study prices, yields, and other stats and find a reliable investment.
Symbol | YTW % | Price % | Coupon % | Maturity date | Outstanding amt | Face value | S&P rating | Fitch rating | Moody's rating | Issuer |
|---|---|---|---|---|---|---|---|---|---|---|
| LLYB4891419LYB International Finance III LLC 4.2% 15-OCT-2049 | 6.67% | 71.00% | 4.200% | 2049-10-15 | 1 B USD | 1,000.00 USD | BBB− | BBB | — | LYB International Finance III LLC |
| LLYB4977235LYB International Finance III LLC 4.2% 01-MAY-2050 | 6.65% | 70.93% | 4.200% | 2050-05-01 | 1 B USD | 1,000.00 USD | BBB− | BBB | — | LYB International Finance III LLC |
| 6.63% | 74.41% | 4.625% | 2055-02-26 | 1 B USD | 1,000.00 USD | BBB− | BBB | — | LyondellBasell Industries NV | |
| UUS50247VAC37LYB International Finance BV 4.875% 15-MAR-2044 | 6.61% | 82.10% | 4.875% | 2044-03-15 | 1 B USD | 1,000.00 USD | BBB− | BBB | — | LYB International Finance BV |
| LLYB4029079LYB International Finance BV 5.25% 15-JUL-2043 | 6.57% | 86.58% | 5.250% | 2043-07-15 | 750 M USD | 1,000.00 USD | BBB− | BBB | — | LYB International Finance BV |
| LLYB6231124LYB International Finance III LLC 5.875% 15-JAN-2036 | 6.01% | 98.96% | 5.875% | 2036-01-15 | 1 B USD | 1,000.00 USD | BBB− | BBB | — | LYB International Finance III LLC |
| LLYB6071067LYB International Finance III LLC 6.15% 15-MAY-2035 | 5.99% | 101.03% | 6.150% | 2035-05-15 | 500 M USD | 1,000.00 USD | BBB− | BBB | — | LYB International Finance III LLC |
| LLYB5761665LYB International Finance III LLC 5.5% 01-MAR-2034 | 5.82% | 98.09% | 5.500% | 2034-03-01 | 750 M USD | 1,000.00 USD | BBB− | BBB | — | LYB International Finance III LLC |
| LLYB5589417LYB International Finance III LLC 5.625% 15-MAY-2033 | 5.70% | 99.59% | 5.625% | 2033-05-15 | 500 M USD | 1,000.00 USD | BBB− | BBB | — | LYB International Finance III LLC |
| LLYB4977234LYB International Finance III LLC 3.375% 01-MAY-2030 | 5.58% | 92.81% | 3.375% | 2030-05-01 | 142.04 M USD | 1,000.00 USD | BBB− | BBB | — | LYB International Finance III LLC |
| LLYB6231125LYB International Finance III LLC 5.125% 15-JAN-2031 | 5.37% | 99.02% | 5.125% | 2031-01-15 | 500 M USD | 1,000.00 USD | BBB− | BBB | — | LYB International Finance III LLC |
| LLYB5058418LYB International Finance III LLC 2.25% 01-OCT-2030 | 5.26% | 89.07% | 2.250% | 2030-10-01 | 500 M USD | 1,000.00 USD | BBB− | BBB | — | LYB International Finance III LLC |
| 00LFALYB International Finance II B.V. 3.5% 02-MAR-2027 | 4.56% | 99.50% | 3.500% | 2027-03-02 | 590.82 M USD | 1,000.00 USD | BBB− | BBB | — | LYB International Finance II BV |
| XXS205231382LYB International Finance II B.V. 1.625% 17-SEP-2031 | 3.94% | 89.62% | 1.625% | 2031-09-17 | 500 M EUR | 1,000.00 EUR | BBB− | BBB | — | LYB International Finance II BV |
| XXS205231005LYB International Finance II B.V. 0.875% 17-SEP-2026 | — | 99.88% | 0.875% | 2026-09-17 | 500 M EUR | 1,000.00 EUR | BBB− | BBB | — | LYB International Finance II BV |