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Bond name interpretation in the Revolut app

We always structure our bonds as follows:

  • Issuer — coupon rate — maturity date

Example 1 — BNP Paribas SA 2.375% 05/24:

  • Issuer — BNP Paribas SA
  • Coupon rate — 2.375%
  • Maturity date — May 2024

Example 2 — United States of America 4.5% 11/25:

  • Issuer — United States of America
  • Coupon rate — 4.5%
  • Date of Maturity — November 2025