Meta Platforms, Inc.
Full Lot
Price as of 06 Oct 2026, 12:10am
Odd Lot
Price as of 06 Oct 2026, 12:10am
Ask Yield to Worst
Bid Yield to Worst
Ask Yield to Maturity
Bid Yield to Maturity
Bond Issuer
Meta Platforms, Inc.
Guarantor
-
Announcement Date
30 Oct 2025
Issue Date
03 Nov 2025
Maturity Date
15 Nov 2045
Years to Maturity / Next Call
19.124 / 18.620
Modified Duration
10.708 @ 02 Oct 2026
Issue / Reoffer Price
99.817
Issue / Reoffer Yield
5.515
Coupon Type
Fixed
Annual Coupon Rate
5.500
Coupon Frequency
Semi Annually
Seniority
Senior Unsecured
Reference Rate
-
ISIN
US30303M8X35
CUSIP
30303M8X3
Bond Currency
USD
Total Issue Size
4,500,000,000
Min. Investment Quantity (Nominal)
USD 2,000
Incremental Quantity (Nominal)
USD 1,000
Bond Type
Corporate
Bond Sector
Information Technology
Bond Sub Sector
Internet Software and Services
Issuer Credit Rating (S&P/ Fitch)
***/ N.R
Bond Credit Rating (S&P/ Fitch)
***/ N.R
Shariah Compliant
No
Exchange Listed
Others
Par Call Date: May 15, 2045 (six months prior to maturity)
(1) (a) the sum of the present values of the remaining scheduled payments of principal and interest thereon discounted to the redemption date (assuming the notes matured on the applicable Par Call Date) on a semi-annual basis (assuming a 360-day year consisting of twelve 30-day months) at the Treasury Rate plus the applicable Spread for such notes (as set forth in the table below), less (b) interest accrued to the date of redemption, and
(2) 100% of the principal amount of the notes to be redeemed, plus, in each case, accrued and unpaid interest, if any, to, but excluding, the date of redemption.
| Series | Par Call Date | Spread |
|---|---|---|
| 2045 notes | May 15, 2045 (six months prior to maturity) | 15 basis points |
Cash Flow Information