Bond Factsheet
Bond Factsheet

Marketplace
META 5.500% 15Nov2045 Corp (USD)

Meta Platforms, Inc.

Full Lot

Bid Price
83.014
Change in Bid Price
remove 2.776
Bid Yield (%)
7.142 %
Change in Bid Yield
0.300
Bid Volume
200,000
Ask Price
83.764
Change in Ask Price
remove 2.026
Ask Yield (%)
7.060 %
Change in Ask Yield
0.218
Ask Volume
200,000

Price as of 06 Oct 2026, 12:10am

Odd Lot

Bid Price
83.270
Change in Bid Price
remove 0.230
Bid Yield (%)
7.114 %
Change in Bid Yield
0.025
Bid Volume
1,000
Ask Price
83.764
Change in Ask Price
0.264
Ask Yield (%)
7.060 %
Change in Ask Yield
remove 0.029
Ask Volume
100,000

Price as of 06 Oct 2026, 12:10am

Created with Highcharts 10.3.3Yield (%)Chart context menuYield1 Sep3 Sep5 Sep7 Sep9 Sep11 Sep13 Sep15 Sep17 Sep19 Sep21 Sep23 Sep25 Sep27 Sep29 Sep1 Oct6.66.76.86.977.17.27.3

Ask Yield to Worst

Bid Yield to Worst

Ask Yield to Maturity

Bid Yield to Maturity

Bond Feature(s)
Bond InformationMeta Platforms, Inc. operates as a social technology company. The Company builds applications and technologies that help people connect, find communities, and grow businesses. Meta Platform is also involved in advertisements, augmented, and virtual reality.

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

Bond Feature(s)
Issuer Call
Each series of notes will be redeemable as a whole or in part, at our option at any time and from time to time on or after the applicable Par Call Date, at a redemption price equal to 100% of the principal amount of the notes being redeemed, plus accrued and unpaid interest to, but excluding, the date of redemption.

Par Call Date: May 15, 2045 (six months prior to maturity)
Make Whole Call
Each series of notes will be redeemable as a whole or in part, at our option at any time and from time to time prior to the applicable Par Call Date (as set forth in the table below), at a redemption price equal to the greater of:

(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

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Maturity Date: 15 Nov 2045

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