Question: Do more than one question for 2 upvotes! What is the bond type and debt type? What is the amount of issue (original offering)? What

Do more than one question for 2 upvotes!

  1. What is the bond type and debt type?
  2. What is the amount of issue (original offering)? What is the amount of outstanding?
  3. What was the bond price (in dollars) when it was issued? Was it sold at par, premium, or discount at issuance?
  4. What is the bond price (in dollars) now? Is it a premium or discount bond now?
  5. What is the bonds security level? Are any assets pledged for security purposes? If yes, what kind of assets of the pledged assets?
  6. Does the bond have a call provision? If yes, when will the issuer be able to call the bond? How much is the call price?
  7. What was the bonds rating according to Moodys, Standard &Poors (S&P), and TRACE? Is the bonds rating a high, medium, or low grade?

Do more than one question for 2 upvotes! What is

Bond Detail Lookup Symbol: VERIZON COMMUNICATIONS INC + ADD TO WATCHLIST Coupon Rate Maturity Date .850% 11/20/2025 Symbol VZ5078182 CUSIP 92343VFS8 Next Call Date Callable 10/20/2025 Yes Last Trade Price Last Trade Yield Last Trade Date US Treasury $100.21 .806% 12/11/2020 Yield Trade History Price/Yield Chart Classification Elements Price Chart Yield Chart - 12/11/2020 Zoom: 5D 1M 3M YTD 1Y 3Y 5Y 10Y Max 11/10/2020 - Price Bond Type Debt Type Industry Group Industry Sub Group Sub-Product Asset Sub-Product Asset Type - US Corporate Debentures Senior Unsecured Note Industrial Media/Communications CORP Corporate Bond Price $ State 100.40 Use of Proceeds Security Code w Special Characteristics Medium Term Note N 100.20 n Issue Elements 100.00 11/10/2020 11/20/2020 05/20/2021 11/18/20 11/25/20 12/02/20 12/09/20 $2,000,000.00 $2,000,000.00 Credit and Rating Elements Offering Date Dated Date First Coupon Date Original Offering Amount Outstanding Series Issue Description Project Name Payment Frequency Day Count Form Depository/Registration Moody's Rating Standard & Poor's Rating TRACE Grade Default Baal (11/11/2020) BBB+ (11/10/2020) Investment Grade Semi-Annual 30/360 N Book Entry DTC, Clearstream, Euroclear Bankruptcy Insurance Mortgage Insurer Pre-Refunded/Escrowed - Additional Description Senior Senior Unsecured Note Security Level Collateral Pledge Capital Purpose *dollar amount in thousands Put & Redemption Provisions Call Price Bond Elements Call Date 10/20/2025 Call Frequency Continuously $100.00 2,000,000.00 2,000,000.00 Put Date Put Price Put Price Put Frequency Original Maturity Size* Amount Outstanding Size* Yield at Offering Price at Offering Coupon Type Escrow Type 0.85% $99.99 Fixed * dollar amount in thousands

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