US71647NAN93 · Corp · USD

Petrobras Global Finance Bv 6.85% 2115/06

Petrobras Global Finance BvBrazilGLOBALSenior Unsecured
MID PRICE
94.90
par = 100
YIELD TO MAT.
7.22%
semi-annual
COUPON
6.850%
semi-annual · fixed
MATURITY
2115-06-05
bullet · 89.09y
OUTSTANDING
not disclosed
AS OF
2026-04-30
Fund disclosure

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Risk analytics

SEMI-ANNUAL · BULLET · PAR 100
Modified duration
13.43 y
1bp ↑ ≈ -0.134% P&L
Convexity
368.42
higher = more curvature
Years to maturity
89.09 y
YTM source
Ingested
Fund disclosure
Market signals · funds disclosing this bond
SignalCategoryExposureLast moveWeightAs of
iShares Emerging Markets High Yield Bond
iShares
EM High Yield$1.1M▼ $5610.18%2026-04-30
iShares Emerging Markets Corporate Bond
iShares
EM Corporate$366K▼ $1910.09%2026-04-30
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Price history

Sherpa Signal

AS OF 2026-04-30

Institutional footprint · signal-level holdings

21/ 100Early footprint
Interpretation. Minimal institutional footprint, holding
HOLDERS
2
unchanged in 7d
AGGREGATE EXPOSURE
$1.4M
USD across all
TOP CONCENTRATION
74.6%
largest holder
FLOW
▼ $3K
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
94,900 USD
PRICE
94.90

RFQ routing · coming soon

Security details

VIA OPENFIGI
Canonical
PETBRA 6.85 06/05/2115
FIGI
BBG009BNFQ03
CUSIP
71647NAN9
ISIN
US71647NAN93
Type
Corp
Issued
2015-06-05
Face value
100 USD
Ticker
PETBRA 6.85 06/05/15
Sec. type
GLOBAL
Seniority
Senior Unsecured

Issuer curve

PETBRA · 10 PTS

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