Goldman Sachs Issues 6.15% Bond Due 2046 with Next Payment in 2027
The Goldman Sachs Group, Inc. has issued a bond with a coupon rate of 6.15%. This bond, known as GS6479183, matures on July 30, 2046.
The next payment for this bond is scheduled to be made on August 12, 2027, and it will accrue interest from the date of issuance, July 30, 2016. The annual payments are $61.5 per coupon amount, with a fixed listing coupon change type.
The bond's interest payment overview shows that the current coupon rate is 6.15%, which is consistent throughout the life of the bond. As the bond matures in 2046, the coupon rate will remain at 6.15%. However, on July 30, 2051, the coupon rate will decrease to 5.94%.