GSK PLC (GLAXF) Corporate Bonds
Bond Coupon Rate Maturity Date Yield to Maturity Outstanding Amount
GSK PLC 4.88% Notes due 2035-04-15 4.88% 2035-04-15 4.98% 750.00
GSK PLC 4.50% Notes due 2030-04-15 4.50% 2030-04-15 4.61% 850.00
GSK PLC 4.32% Notes due 2027-03-12 4.32% 2027-03-12 4.32% 400.00
GSK PLC Floating Rate Notes due 2027-03-12 Floating 2027-03-12 - 600.00