AFRICAN EUROBONDS

Africa Finance Corporation 5.55% 8 October 2029

Terms

Security information

Coupon
5.55% confirmed
Frequency
Semi-annual confirmed
Coupon dates
8 April and 8 October confirmedRead from the final terms.
Day count
30E/360 confirmedRead from the final terms, not assumed.
Maturity
8 October 2029
Structure
Bullet — repaid in full at maturity confirmed

Identifiers

ISIN (Reg S)
XS2913968363 confirmed
ISIN (Rule 144A)
US00830YAF88 confirmed
Currency
USD confirmed

Issuer and ranking

Issuer
Africa Finance Corporation confirmed
Type
Supranational
Sector
Development finance
Region
Pan-African: 44 African member countries and three multilateral financial institutions confirmedRead from AFC prospectus of 16 Jan 2025 (7.50% perpetual notes): “the Issuer has 44 member countries”, all African, plus Africa Re, the African Development Bank and BADEA. A multilateral lender is owned by several states, so it has no single country of risk; it is listed under the Supranationals tab.
Guarantee
None confirmedThe notes are obligations of the issuer alone.
Ranking
Senior unsecured confirmed

Issuance

Issued
8 October 2024 confirmed
Outstanding
US$500,000,000 confirmed

Source document: Final terms

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. A supranational lender has no single country of risk; the region shown is its membership as its own document states it.

Final terms · dated 4 October 2024
https://registers.esma.europa.eu/publication/downloadFile?fileId=36075074&checksum=63e3c53464f3af659877794e8a0f9a4d

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

Open questions

Yield withheld. The terms are read; the dealer's yields are being checked against them before a yield is shown. The price is shown; no yield is published for it until the reason above is resolved.

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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 2026-10-01.