Live prices
Nigerian Eurobonds — prices & yields
Live indicative bid and ask prices and yields for the 15 Nigerian Eurobonds — the US-dollar bonds issued by the Federal Republic of Nigeria — updated through the trading day and anchored to the official market close. Each bond’s last close is printed with its date; the terms are read from the same record each price is built on; the public document behind every bond is on its own page.
Last close on this page: 25 Sep 2026 (15 of 15 bonds have a close). The live columns fill when the page opens.
Prices load live when this page opens. The terms below are fixed and do not depend on it; if no prices appear, the price service could not be reached.
| Bond | Coupon | Maturity | Ccy | Outstanding | Bid | Ask | Bid yield | Ask yield | Daily chg | As at | Last close bid / ask · date · source |
|---|---|---|---|---|---|---|---|---|---|---|---|
| FEDERAL REPUBLIC OF NIGERIA NOV 2027 XS1717011982 | 6.5% | 28 Nov 2027 | USD | USD 1.50bn | — | — | — | — | — | — | 100.4966 / 100.7466 model |
| FEDERAL REPUBLIC OF NIGERIA SEP 2028 XS2384698994 | 6.125% | 28 Sep 2028 | USD | USD 1.25bn | — | — | — | — | — | — | 99.3800 / 99.8800 model |
| FEDERAL REPUBLIC OF NIGERIA MAR 2029 XS2445169985 | 8.375% | 24 Mar 2029 | USD | USD 1.25bn | — | — | — | — | — | — | 104.2452 / 104.7452 model |
| FEDERAL REPUBLIC OF NIGERIA FEB 2030 XS1777972511 | 7.143% | 23 Feb 2030 | USD | USD 1.25bn | — | — | — | — | — | — | 101.3706 / 101.8706 model |
| FEDERAL REPUBLIC OF NIGERIA JAN 2031 XS1910827887 | 8.747% | 21 Jan 2031 | USD | USD 1.00bn | — | — | — | — | — | — | 106.3862 / 106.8862 model |
| FEDERAL REPUBLIC OF NIGERIA JUN 2031 XS2948511949 | 9.625% | 09 Jun 2031 | USD | USD 700m | — | — | — | — | — | — | 110.3750 / 110.8750 model |
| FEDERAL REPUBLIC OF NIGERIA FEB 2032 XS1566179039 | 7.875% | 16 Feb 2032 | USD | USD 1.50bn | — | — | — | — | — | — | 103.2665 / 103.7665 model |
| FEDERAL REPUBLIC OF NIGERIA SEP 2033 XS2384701020 | 7.375% | 28 Sep 2033 | USD | USD 1.50bn | — | — | — | — | — | — | 99.8575 / 100.3575 model |
| FEDERAL REPUBLIC OF NIGERIA DEC 2034 XS2948512913 | 10.375% | 09 Dec 2034 | USD | USD 1.50bn | — | — | — | — | — | — | 116.3587 / 116.8587 model |
| FEDERAL REPUBLIC OF NIGERIA JAN 2036 XS3218072919 | 8.6308% | 13 Jan 2036 | USD | USD 1.25bn | — | — | — | — | — | — | 106.2702 / 106.7702 model |
| FEDERAL REPUBLIC OF NIGERIA FEB 2038 XS1777972941 | 7.696% | 23 Feb 2038 | USD | USD 1.25bn | — | — | — | — | — | — | 99.7585 / 100.3835 model |
| FEDERAL REPUBLIC OF NIGERIA JAN 2046 XS3218073057 | 9.1297% | 13 Jan 2046 | USD | USD 1.10bn | — | — | — | — | — | — | 107.8827 / 108.5077 model |
| FEDERAL REPUBLIC OF NIGERIA NOV 2047 XS1717013095 | 7.625% | 28 Nov 2047 | USD | USD 1.50bn | — | — | — | — | — | — | 94.9959 / 95.6209 model |
| FEDERAL REPUBLIC OF NIGERIA JAN 2049 XS1910828182 | 9.248% | 21 Jan 2049 | USD | USD 750m | — | — | — | — | — | — | 109.8797 / 110.5047 model |
| FEDERAL REPUBLIC OF NIGERIA SEP 2051 XS2384704800 | 8.25% | 28 Sep 2051 | USD | USD 1.25bn | — | — | — | — | — | — | 98.7479 / 99.3729 model |
Prices and yields are indicative, model-derived figures for information only — not advice, not executable quotes, and no trades are arranged here. Bid and ask yields are yields to maturity on the bid and ask price respectively. An amber date means the last official close is older than the latest session; a red one means the latest close was refused by our checks and the price shown runs off an older anchor. Terms & Disclaimer.
Corporate issuers
Eurobonds issued by companies whose country of risk is Nigeria — where most of their assets are, or whose guarantee they carry — whatever their place of incorporation. Listed apart from the sovereign bonds above and not counted with them. Their prices are the latest official close; the model does not move them through the day. A dash in a yield column means the yield is withheld: the terms it depends on (interest dates, day count, early-redemption schedule) have not yet been read from the offering document, and a yield that cannot be derived from a document is not shown.
| Bond | Coupon | Maturity | Ccy | Outstanding | Bid | Ask | Bid yield | Ask yield | Daily chg | As at | Last close bid / ask · date · source |
|---|---|---|---|---|---|---|---|---|---|---|---|
| IHS SEP 2027 XS2051106073 | 8.0% | 18 Sep 2027 | USD | USD 286m | — | — | — | — | — | — | 99.7440 / 100.0780 dealer |
| ECOBANK OCT 2029 XS2879056534 | 10.125% | 15 Oct 2029 | USD | USD 525m | — | — | — | — | — | — | 108.2500 / 108.8750 dealer |
| SEPLAT MAR 2030 XS3030248325 | 9.125% | 21 Mar 2030 | USD | USD 650m | — | — | — | — | — | — | 105.2500 / 105.7500 dealer |
| ECOBANK AUG 2036 XS3370280557 | 8.875% | 19 Aug 2036 | USD | USD 450m | — | — | — | — | — | — | 102.2500 / 103.0000 dealer |
About these prices
Each price is anchored to the official market close and then moved through the day by a model that reads the US Treasury and Bund curves, so it is the close plus what has happened to rates since — not a dealer quote. How to read a bond yield explains what the yield columns mean.
The terms — coupon, maturity, currency, amount outstanding — are reference data, fixed when each bond was sold. Every bond links to its own page, which carries the full terms, the repayment schedule where there is one, and the prospectus or offering circular the figures were read from. Nigerian Eurobonds, explained is the plain-English guide to this issuer; the source documents are indexed with their dates.
The live columns are filled when the page opens and are never stored in this file. The last-close columns are stored: they are the site’s own daily close, written into this page by the nightly build together with the date it was recorded and where it came from (dealer, DMO or model), and rewritten each trading day. A close is a record of that day, not a quote for today. Page last changed 2026-09-25.