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 |
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.