AFRICA'S EUROBOND APP Live prices →

Cameroon 5.95% 7 July 2032

Terms

Security information

Coupon
5.95%
Frequency
Annual confirmed
Coupon date
7 July each year inferredDerived from the maturity date. The stored next-coupon field is not published here because it goes stale between runs.
Day count
ACT/ACT inferredMarket convention for a EUR sovereign Eurobond, not read off the conditions.
Maturity
7 July 2032
Structure
Amortising — repaid in 3 instalments confirmedThe repayment schedule is set out below.

Identifiers

ISIN
XS2360598630 confirmed
Currency
EUR confirmed

Issuance

Issued
7 July 2021
Outstanding
€685,000,000

Repayment schedule

This bond is repaid in 3 instalments rather than in one payment at maturity. Percentages are of the original face amount. The next instalment falls on 7 July 2030.

DateRepaidOutstanding after
7 July 203033.3333%66.6667%
7 July 203133.3333%33.3333%
7 July 203233.3333%0%

Where these figures come from

Coupon, maturity and amount outstanding are the values this site publishes for this bond, read from the same record the price page reads, and the document below is the source recorded against them. The coupon dates are derived from the maturity date. The day count, ACT/ACT, is market convention for a EUR sovereign Eurobond and is not read off the conditions — worth about 0.04 of a basis point. The repayment schedule is the same one the pricing engine uses to value this bond, so the dates below and the published price cannot disagree about how much of it is left.

https://data.fca.org.uk/artefacts/NSM/Portal/NI-000029511/NI-000029511.pdf · 2021-07-05

Nothing further is outstanding on this bond. Where something is, it is stated here in place of this line.

No prices on this page

Nothing on this page is a price, a yield or a valuation. Terms only. The live indicative figures for this bond are on the price page, and if anything here ever disagrees with the price page, this page is the one to distrust.