US698299CB89 · Govt · USD

Panama Republic Of (government) 5.23% 2034/02

MID PRICE
100.78
par = 100
YIELD TO MAT.
5.26%
semi-annual
COUPON
5.230%
semi-annual · fixed
MATURITY
2034-02-23
bullet · 7.81y
OUTSTANDING
not disclosed
AS OF
2026-04-30
Fund disclosure

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Risk analytics

SEMI-ANNUAL · BULLET · PAR 100
Modified duration
6.28 y
1bp ↑ ≈ -0.063% P&L
Convexity
47.67
higher = more curvature
Years to maturity
7.81 y
YTM source
Ingested
Fund disclosure
Market signals · funds disclosing this bond
SignalCategoryExposureLast moveWeightAs of
Vanguard Total Bond Market
Vanguard
US Aggregate$28.0M0.01%2026-03-31
iShares J.P. Morgan USD Emerging Markets Bond
iShares
EM Sovereign USD$24.5M▲ $1K0.17%2026-04-30
Vanguard Intermediate-Term Bond
Vanguard
US Aggregate Intermediate$12.9M0.03%2026-03-31
Vanguard Emerging Markets Government Bond
Vanguard
EM Sovereign USD$6.5M0.10%2026-03-31
iShares Core U.S. Aggregate Bond
iShares
US Aggregate$353K▲ $6690.00%2026-04-30
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Price history

Sherpa Signal

AS OF 2026-04-30

Institutional footprint · signal-level holdings

44/ 100Active coverage
Interpretation. Light institutional footprint, holding
HOLDERS
5
unchanged in 7d
AGGREGATE EXPOSURE
$72.2M
USD across all
TOP CONCENTRATION
38.8%
largest holder
FLOW
▼ $547K
unchanged 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
100,775 USD
PRICE
100.78

RFQ routing · coming soon

Security details

VIA OPENFIGI
Canonical
PANAMA 5.227 02/23/34
FIGI
BBG020D2F546
CUSIP
698299CB8
ISIN
US698299CB89
Type
Govt
Issued
2026-02-23
Face value
100 USD
Ticker
PANAMA 5.227 02/23/34
Sec. type
GLOBAL
Seniority
Senior Unsecured

Issuer curve

PANAMA · 10 PTS

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