Key Data
Coupon in %
6.2400%
Yield in %
-
Duration
-
Modified Duration
-
Accrued Interest
-
Currency
Bond Data
ISIN
US52520X2080
Name
LEH.B.HLDGS CAP.T.VI PFDN
Country
USA
Issueance
Issuer
Lehman Brothers Holdings Capital Trust VI
Issue Volume
8,000,000
Currency
Issue Price
Issue Date
1/18/2005
Coupon
Coupon
6.240%
Denomination
1
Quotation Type
Payment Type
Special Coupon Type
Maturity Date
1/18/2054
Coupon Payment Date
7/18/2018
Payment Frequency
No. of Payments per Year
4,0
Coupon Start Date
4/18/2005
Final Coupon Date
1/17/2054
Floater?
No
SO WIL.E's .... If on 7/18/18 we get paid, that would be GOOD no? LOL