AFRICAN EUROBONDS

OCP S.A. 7.5% 2 May 2054

Terms

Security information

Coupon
7.5% confirmed
Frequency
Semi-annual confirmed
Coupon dates
2 May and 2 November confirmedRead from the prospectus (offering circular).
Day count
30E/360 confirmedRead from the prospectus (offering circular), not assumed.
Maturity
2 May 2054
Structure
Bullet — repaid in full at maturity confirmed

Identifiers

ISIN
XS2810168810 confirmed
Currency
USD confirmed

Issuer and ranking

Issuer
OCP S.A. confirmed
Type
State-owned enterprise
Sector
Phosphates and fertilisers
Incorporated in
Morocco confirmedRecorded, never used to classify the bond.
Country of risk
Morocco confirmedAssigned as the country where most of the issuer’s assets are. Listed under the Corporates tab with this country shown.
Guarantee
None confirmedThe notes are obligations of the issuer alone.
Ranking
Senior unsecured confirmed

Issuance

Issued
2 May 2024 confirmed
Outstanding
US$975,000,000 confirmed

Source document: Prospectus (offering circular)

Coupon, maturity, size and the terms shown 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 interest dates and day count are read, not derived. The country of risk follows the guarantor, then the assets, then the headquarters, never the place of incorporation.

Prospectus (offering circular) · dated 29 April 2024
https://ocpsiteprodsa.blob.core.windows.net/media/2024-04/Final%20Prospectus042024.pdf

Linked, not hosted here: the document stays at the issuer, exchange or regulator that published it. All source documents, by country →

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

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Where the numbers come from, and where the terms come from

The prices and yields at the top of this page are live and indicative. They are fetched when the page loads, from the same source as the price page, and no figure is stored in this page — so the two cannot drift apart. They are not an offer to trade.

Everything below the prices is different in kind. Terms are fixed when a bond is sold and change rarely, so they are stated here once, each with the document it was read from. If a term on this page ever disagrees with the price page, this page is the one to distrust.

Page last changed 2026-09-29; first published 2026-09-29.