US00846UAN19 · Corp · USDInvestment Grade · BBB+

Agilent Technologies Inc 2.30% 2031/03

MID PRICE
90.06
par = 100
YIELD TO MAT.
4.70%
semi-annual
COUPON
2.300%
semi-annual · fixed
MATURITY
2031-03-12
bullet · 4.84y
OUTSTANDING
not disclosed
AS OF
2026-05-07

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About this bond

AI BRIEF · GROUNDED IN STRUCTURED DATA
About the issuer

Agilent Technologies, Inc. is an American global company headquartered in Santa Clara, California, that provides instruments, software, services, and consumables for laboratories. Agilent was established in 1999 as a spin-off from Hewlett-Packard. The resulting initial public offering of Agilent stock was the largest in the history of Silicon Valley at the time. From 1999 to 2014, the company produced optics, semiconductors, EDA software and test and measurement equipment for electronics; that division was spun off to form Keysight. Since then, the company has continued to expand into pharmaceutical, diagnostics & clinical, and academia & government (research) markets.

Source: Wikipedia →

Risk analytics

SEMI-ANNUAL · BULLET · PAR 100
Modified duration
4.47 y
1bp ↑ ≈ -0.045% P&L
Convexity
22.88
higher = more curvature
Years to maturity
4.84 y
YTM source
Ingested
Market signals · funds disclosing this bond
SignalCategoryExposureLast moveWeightAs of
Vanguard Short-Term Corporate Bond
Vanguard
US Corporate Short$12.1M0.02%2026-03-31
Vanguard Total Bond Market
Vanguard
US Aggregate$10.7M0.00%2026-03-31
iShares iBoxx $ Investment Grade Corporate Bond
iShares
US IG Corporate$5.2M▼ $14K0.02%2026-05-07
iShares iBonds Dec 2031 Term Corporate
iShares
iBonds 2031 Corporate$4.5M▼ $11K0.19%2026-05-07
iShares Core U.S. Aggregate Bond
iShares
US Aggregate$3.9M▼ $9K0.00%2026-05-07
Invesco BulletShares 2031 Corporate Bond
Invesco
BulletShares 2031 Corporate$3.6M▲ $4K0.22%2026-05-05
Vanguard Short-Term Bond
Vanguard
US Aggregate Short$3.5M0.01%2026-03-31
iShares 1-5 Year Investment Grade Corporate Bond
iShares
US IG Corporate 1-5Y$3.3M▼ $4K0.01%2026-05-07
iShares Broad USD Investment Grade Corporate Bond
iShares
US Broad IG Corporate$1.5M▼ $2K0.01%2026-05-07
SPDR Portfolio Intermediate Term Corporate Bond
SPDR
US IG Corporate Intermediate$1.3M▲ $1K0.01%2026-05-05
iShares Core Universal USD Bond
iShares
US Aggregate$1.0M▼ $2K0.00%2026-05-07
iShares 0-5 Year Investment Grade Corporate Bond
iShares
US IG Corporate$540K▼ $1K0.02%2026-05-07
SPDR Portfolio Aggregate Bond
SPDR
US Aggregate$404K▲ $4190.00%2026-05-05
iShares Intermediate Government/Credit Bond
iShares
US Govt/Credit$189K▼ $4450.01%2026-05-07
iShares Core 1-5 Year USD Bond
iShares
US Short-Term Core$180K▼ $4240.00%2026-05-07
iShares ESG Aware USD Corporate Bond
iShares
US ESG IG Corporate$99K▼ $2330.01%2026-05-07
iShares Interest Rate Hedged Corporate Bond
iShares
US IR Hedged IG Corporate$84K▼ $8260.02%2026-05-07
iShares ESG Advanced Universal USD Bond
iShares
US Aggregate$59K▼ $1380.01%2026-05-07
iShares BBB Rated Corporate Bond
iShares
US IG Corporate$40K▼ $1040.07%2026-05-07
iShares Inflation Hedged Corporate Bond
iShares
US IG Corporate$12K▼ $1140.02%2026-05-07
iShares Government/Credit Bond
iShares
US Govt/Credit$9K▼ $210.01%2026-05-07
iShares Interest Rate Hedged U.S. Aggregate Bond
iShares
US Aggregate$1420.00%2026-05-07
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Price history

Sherpa Signal

AS OF 2026-05-07

Institutional footprint · signal-level holdings

48/ 100Active coverage
Interpretation. Light institutional footprint, with net distribution
HOLDERS
22
▲ 5 signals in 7d
AGGREGATE EXPOSURE
$52.3M
USD across all
TOP CONCENTRATION
23.2%
largest holder
FLOW
▼ $3.5M
▲ 5 signals in 7d

Sherpa Signal is derived from a panel of tracked institutional portfolios. Names of individual holders are not disclosed.

100K PAR NOTIONAL · MARKET VALUE
90,055 USD
PRICE
90.06

RFQ routing · coming soon

Security details

VIA OPENFIGI
Canonical
A 2.3 03/12/31
FIGI
BBG00ZHZ78P4
CUSIP
00846UAN1
ISIN
US00846UAN19
Type
Corp
Issued
2021-03-12
Face value
100 USD
Ticker
A 2.3 03/12/31
Sec. type
GLOBAL
Seniority
Senior Unsecured

Issuer curve

A · 6 PTS

Yield (%) plotted against years-to-maturity. This bond highlighted in amber.