Berry Global Group, Inc.Berry Global Group, Inc.Berry Global Group, Inc.

Berry Global Group, Inc.

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Bon BERY

Di bawah adalah senarai bon-bon korporat Berry Global Group, Inc.. Pelabur selalunya memilih bon syarikat kerana kestabilan meningkat mereka semasa ketidakstabilan pasaran. Kaji harga, hasil dan statistik lain dan cari pelaburan yang boleh dipercayai.
Simbol
YTM %
Harga %
Kupon %
Tarikh Matang
Jumlah tertunggak
Nilai muka
Jumlah denominasi min
Pengeluar
AAPO5811523Berry Global, Inc. 5.8% 15-JUN-2031
5.87%99.61%5.80%2031-06-15800 M USD1,000.00 USD2,000.00 USDBerry Global, Inc.
AAPO5562970Berry Global, Inc. 5.5% 15-APR-2028
5.78%99.08%5.50%2028-04-158.783 M USD1,000.00 USD2,000.00 USDBerry Global, Inc.
UUSU0740WAA9BERRY GLOBAL 18/26 REGS
5.47%98.69%4.50%2026-02-15291.353 M USD1,000.00 USD2,000.00 USDBerry Global, Inc.
AAPO4836484Berry Global, Inc. 5.625% 15-JUL-2027
5.36%100.69%5.63%2027-07-15500 M USD1,000.00 USD2,000.00 USDBerry Global, Inc.
AAPO5732723Berry Global, Inc. 5.65% 15-JAN-2034
5.12%104.00%5.65%2034-01-15800 M USD1,000.00 USD2,000.00 USDBerry Global, Inc.
UUSU0741BAA4BERRY GLOBAL 24/31 REGS
5.08%104.14%5.80%2031-06-15800 M USD1,000.00 USD2,000.00 USDBerry Global, Inc.
AAPO4836488Berry Global, Inc. 4.875% 15-JUL-2026
4.96%99.86%4.88%2026-07-15750 M USD1,000.00 USD2,000.00 USDBerry Global, Inc.
AAPO5745209Berry Global, Inc. 5.5% 15-APR-2028
4.63%102.86%5.50%2028-04-15491.217 M USD1,000.00 USD2,000.00 USDBerry Global, Inc.
AAPO5288911Berry Global, Inc. 1.57% 15-JAN-2026
4.48%96.28%1.57%2026-01-151.525 B USD1,000.00 USD2,000.00 USDBerry Global, Inc.
AAPO5288913Berry Global, Inc. 1.65% 15-JAN-2027
4.31%94.12%1.65%2027-01-15400 M USD1,000.00 USD2,000.00 USDBerry Global, Inc.
XXS209388103BERRY GLOBAL 20/27 REGS
3.23%96.14%1.50%2027-01-15375 M EUR1,000.00 EUR100,000.00 EURBerry Global, Inc.
XXS209388073BERRY GLOBAL 20/25 REGS
1.96%99.05%1.00%2025-01-15700 M EUR1,000.00 EUR100,000.00 EURBerry Global, Inc.
AAPO5140809Berry Global, Inc. 1.57% 15-JAN-2026
1.57%2026-01-151,000.00 USD2,000.00 USDBerry Global, Inc.