GS6497242 Bond Yields 5.25% Interest to Investors
A bond issued by Goldman Sachs Group, Inc., GS6497242, has a coupon rate of 5.25%. This means that investors who hold this bond will receive an interest payment of 5.25% on their investment annually.
The next payment for this bond is scheduled to occur on August 31, 2027. The payments are made quarterly, and the current credit rating of GS6497242 has not been disclosed in the source.