34.20 0.00 0.00%
20.09.2022 FFMFO


Bond Data

ISIN USU68356AD39
Name OTIS WORLDW. 20/25 REGS
Country USA
Issueance
Issuer Otis Worldwide Corp.
Issue Volume 1,300,000,000
Currency USD
Issue Price 100.00
Issue Date 2/27/2020
Coupon
Coupon 2.056%
Denomination 1000
Quotation Type
Payment Type regular interest
Special Coupon Type
Maturity Date 4/5/2025
Coupon Payment Date 4/5/2023
Payment Frequency
No. of Payments per Year 2.0
Coupon Start Date 10/5/2020
Final Coupon Date 4/4/2025
Floater? No
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About the Otis Worldwide Corp.-Bond (USU68356AD39)

The Otis Worldwide Corp.-Bond has a maturity date of 4/5/2025 and offers a coupon of 2.0560%. The payment of the coupon will take place 2.0 times per biannual on the 05.10.. The Otis Worldwide Corp.-Bond was issued on the 2/27/2020 with a volume of 1.3 B. USD.