Egypt 8.5% 31 January 2047
Terms
Security information
- Coupon
- 8.5%
- Frequency
- Semi-annual confirmed
- Coupon dates
- 31 January and 31 July inferredDerived from the maturity date. The stored next-coupon field is not published here because it goes stale between runs.
- Day count
- 30E/360 inferredMarket convention for a USD sovereign Eurobond, not read off the conditions.
- Maturity
- 31 January 2047
- Structure
- Bullet — repaid in full at maturity confirmed
Identifiers
- ISIN
- XS1558078496 confirmed
- Currency
- USD confirmed
Issuance
- Issued
- 31 January 2017
- Outstanding
- US$2,500,000,000
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. The link below is the address recorded against them, but it is not a document setting out this bond’s terms — see the open question below. The coupon dates are derived from the maturity date. The day count, 30E/360, is market convention for a USD sovereign Eurobond and is not read off the conditions — worth about 0.04 of a basis point.
https://www.mof.gov.eg/en/ · 2017-01-31
Open questions
The link recorded against this bond is the Egyptian Ministry of Finance’s website — not its own terms. It does not set out this bond’s coupon, maturity or size. Those figures therefore rest on market data rather than on a document, and no per-bond source has been located yet. This is recorded here rather than left to be inferred from the link.
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.