2,625% T-Mobile US Anleihe (2026) Logo
US87264ABU88
A3KNNY

2,625% T-Mobile US Anleihe (2026)

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Security information

Metric Value
Time to maturity Maturity reached
Duration 5 years
Maturity 04/14/2026
First trading day 03/22/2021
Coupon rate 2.63%
Interest type Fixed rate
Interest period Semi-annually
Currency US Dollar
Issue volume 1B
Category Corporate bond
Country USA
Issuer T-Mobile US
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