
UGD 4.5% 2029
EH23L29A · Treasury bond · BODIVA
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Terms
Issue characteristics
Subject to IAC- Type
- Treasury bond
- Annual coupon rate
- 4.50%
- Coupon frequency
- semi-annual
- Issue date
- Jul 23, 2025
- Admission date
- Jul 18, 2025
- Maturity
- Jul 23, 2029 (2 years and 10 months remaining)
- Face value per note
- 1,000 $
- Quantity issued
- 13,000
- Total amount issued
- 13M $
Cashflow simulator
- Nominal investment
- 10,000 $
- Estimated next coupon
- 225 $on Jan 23, 2027
Indicative dates, without business-day adjustment.
| Indicative date | Gross coupon per note | Principal per note | Gross total (10 notes) |
|---|---|---|---|
| Jan 23, 2026 | 22.50 $ | 225 $ | |
| Jul 23, 2026 | 22.50 $ | 225 $ | |
| Jan 23, 2027 | 22.50 $ | 225 $ | |
| Jul 23, 2027 | 22.50 $ | 225 $ | |
| Jan 23, 2028 | 22.50 $ | 225 $ | |
| Jul 23, 2028 | 22.50 $ | 225 $ | |
| Jan 23, 2029 | 22.50 $ | 225 $ | |
| Jul 23, 2029 | 22.50 $ | 1,000 $ | 10,225 $ |
Amounts are gross of taxes.
Tax regime
Rendimentos Sujeitos a IAC [Fonte: BODIVA — ficha do título, campo Regime Fiscal (metadata.source=bodiva); TAUA-3550]
Technical and tax parameters
- Day count convention
- Act/Act
- Index references
- Sem Indexante
- Trading segment
- Mercado de Bolsas de Títulos de Tesouro (MBTT)
- Haircut
- 0%
- Issuance type
- Leilão
Tax regime
Rendimentos Sujeitos a IAC