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NYSE: Bonds
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class="hidden"></div><div class="hidden"></div></nav><div class="flex-1"></div><div class="hidden"></div><form method="GET" class="relative m-0 flex items-center text-black" action="/site-search"><div class="text-base absolute right-0"><input type="search" name="q" disabled="" placeholder="Search" class="border-0 border-b-2 border-solid p-2 pr-10 text-base duration-100 focus:border-primary focus:outline-none lg-max:w-[70px] lg-max:placeholder-transparent lg-max:transition-all lg-max:ease-in-out lg-max:focus:w-[140px] border-black bg-white" value=""/><div class="pointer-events-none absolute right-0 top-1/2 -translate-y-1/2 px-4"><svg role="img" width="1em" height="1em" viewBox="0 0 18 18"><g stroke="none" stroke-width="1" fill="none" fill-rule="evenodd"><g transform="translate(-1362.000000, -104.000000)" fill="currentColor"><path d="M1379.00496,121.06904 C1378.86456,121.20944 1378.68096,121.28 1378.49736,121.28 C1378.31376,121.28 1378.13088,121.20944 1377.99048,121.06904 L1372.48032,115.538 C1371.37584,116.42576 1369.9776,116.96 1368.45552,116.96 C1364.89584,116.96 1362,114.05336 1362,110.48072 C1362,106.90736 1364.89584,104 1368.45552,104 C1372.0152,104 1374.91104,106.90736 1374.91104,110.48072 C1374.91104,112.00784 1374.37896,113.41112 1373.4948,114.51992 L1379.00496,120.05096 C1379.28504,120.33248 1379.28504,120.78752 1379.00496,121.06904 Z M1368.45552,105.44 C1365.6864,105.44 1363.43424,107.70152 1363.43424,110.48072 C1363.43424,113.2592 1365.6864,115.52 1368.45552,115.52 C1371.22392,115.52 1373.4768,113.2592 1373.4768,110.48072 C1373.4768,107.70152 1371.22392,105.44 1368.45552,105.44 Z"></path></g></g></svg></div></div></form></div><div></div><div></div></div><div id="integration-id-7dc3af5"><img class="w-full max-h-screen select-none object-cover" style="height:500px" alt="ICE" src="https://www.nyse.com/publicdocs/images/NYSE_Bonds_Products_hero.jpg"/><div class="-mt-20 md:-mt-32 lg:-mt-40"><div data-testid="belt" class="px-3 lg:px-24"><div class="flex flex-col items-stretch gap-4 lg:flex-row lg:gap-8"><div class="flex-2 my-8 p-8 bg-black text-white"><div id="integration-id-a3132f9" class=""><h1 class="m-0 font-headings border-0 pb-0 mers:border-b-2 mers:border-solid mers:border-secondary mers:pb-2.5 print:orphans-3 print:widows-3 font-medium normal-case leading-none print:break-after-avoid text-4xl imt:text-[2rem] md:text-6xl md:imt:text-5xl imt:mb-6">Bonds</h1></div><div class="h-6"></div><div id="integration-id-fac8844" class=""><div>The NYSE Bonds market structure creates a unique marketplace that fills the void in today's debt market by providing investors easy access to transparent pricing and trading information so they can make better investing decisions.</div></div></div><div class="my-8 flex-1 self-stretch border-solid p-8 text-black bg-white lg:self-end"></div></div></div></div></div><div data-testid="belt" class="px-3 lg:px-24"><div class="h-16"></div><div id="integration-id-bb2f8b7" class=""><div id="integration-id-9f716a2" class=""><div class="text-center"><h2 class="m-0 font-headings border-0 pb-0 mers:border-b-2 mers:border-solid mers:border-secondary mers:pb-2.5 print:orphans-3 print:widows-3 font-medium normal-case leading-none print:break-after-avoid text-3xl imt:text-[1.75rem] md:text-5xl md:imt:text-4xl imt:mb-6">Types of Bonds</h2><hr class="border-0 border-black border-t-2 w-1/5 border-solid mx-auto mt-4 mb-4"/></div></div><div class="h-6"></div><div id="integration-id-e0c77b2"><div><div class="w-full overflow-x-auto"><div id=":34592:R2tdkp::main" class="justify-center justify-items-center gap-x-2 gap-y-4 p-2 grid"><div id="integration-id-61c6fe6" class="flex text-black border-black border-2 border-solid w-96"><div data-tileitem="true" class="flex flex-col-reverse w-96"><div class="flex flex-1 justify-between gap-8 p-8 flex-col"><div><div class="mt-10"><div id="integration-id-e12d6be" class=""><div data-rich-text-ignore="true"><ul class="inline-block pr-0 text-left pl-8 space-y-4 [&_ol]:mt-4 [&_ul]:mt-4 list-disc list-outside"><li class=""><span class="text-[1.5rem] md:text-[1.75rem]">Convertible Bonds</span></li><li class=""><span class="text-[1.5rem] md:text-[1.75rem]">Corporate Bonds</span></li><li class=""><span class="text-[1.5rem] md:text-[1.75rem]">Foreign</span></li><li class=""><span class="text-[1.5rem] md:text-[1.75rem]">Foreign Issuer - US</span></li><li class=""><span class="text-[1.5rem] md:text-[1.75rem]">Non-US Currency Denominated</span></li><li class=""><span class="text-[1.5rem] md:text-[1.75rem]">Zero Coupon</span></li></ul></div></div></div></div><div></div></div></div></div><div id="integration-id-052f6ea" class="flex text-black border-primary border-2 border-solid w-96"><div data-tileitem="true" class="flex flex-col-reverse w-96"><div class="flex flex-1 justify-between gap-8 p-8 flex-col"><div><div class="mt-10"><div id="integration-id-f3ad9ed" class=""><div class="text-center"><h4 class="m-0 font-headings border-0 pb-0 mers:border-b-2 mers:border-solid mers:border-secondary mers:pb-2.5 print:orphans-3 print:widows-3 font-medium normal-case leading-none print:break-after-avoid text-xl imt:text-lg md:text-3xl md:imt:text-[1.5rem] imt:mb-6">Bond Issues</h4><div class="mb-6"></div><p class="print:orphans-3 print:widows-3 print:text-black mb-6 last:mb-0">Efficiently and transparently trade thousands of debt securities.</p></div></div></div></div><div><div id="integration-id-9455b6d" class=""><div class="text-center"><p class="print:orphans-3 print:widows-3 print:text-black mb-6 last:mb-0"><a data-is-button="true" href="/publicdocs/nyse/NYSE_Bond_Master_List.csv" target="_blank" rel="noopener noreferrer" data-checked="false" class="font-medium justify-center items-center no-underline focus-within:outline-none focus:outline-none focus-within:ring focus:ring leading-tight align-middle duration-75 active:shadow-none active:translate-y-px max-w-full select-none bg-black admin:bg-primary text-white border-white shadow-lg hover:text-primary admin:hover:text-white active:text-primary admin:hover:text-white active:shadow-none checked:text-primary text-xs md:text-sm gap-1 md:gap-4 border rounded-tl rounded-tr rounded-bl rounded-br inline-flex px-6 md:px-12 py-1 md:py-2 cursor-pointer uppercase flex-row-reverse break-words"><span><svg stroke="currentColor" fill="currentColor" stroke-width="0" viewBox="0 0 16 16" height="1em" width="1em" xmlns="http://www.w3.org/2000/svg"><path fill-rule="evenodd" clip-rule="evenodd" d="M10.072 8.024L5.715 3.667l.618-.62L11 7.716v.618L6.333 13l-.618-.619 4.357-4.357z"></path></svg></span><span>VIEW THE LIST</span></a></p></div></div></div></div></div></div></div><div id=":34592:R2tdkp::last-row" class="flex flex-row flex-wrap justify-center justify-items-center gap-x-2 gap-y-4 p-2"><div id="integration-id-61c6fe6" class="flex text-black border-black border-2 border-solid w-96"><div data-tileitem="true" class="flex flex-col-reverse w-96"><div class="flex flex-1 justify-between gap-8 p-8 flex-col"><div><div class="mt-10"><div id="integration-id-e12d6be" class=""><div data-rich-text-ignore="true"><ul class="inline-block pr-0 text-left pl-8 space-y-4 [&_ol]:mt-4 [&_ul]:mt-4 list-disc list-outside"><li class=""><span class="text-[1.5rem] md:text-[1.75rem]">Convertible Bonds</span></li><li class=""><span class="text-[1.5rem] md:text-[1.75rem]">Corporate Bonds</span></li><li class=""><span class="text-[1.5rem] md:text-[1.75rem]">Foreign</span></li><li class=""><span class="text-[1.5rem] md:text-[1.75rem]">Foreign Issuer - US</span></li><li class=""><span class="text-[1.5rem] md:text-[1.75rem]">Non-US Currency Denominated</span></li><li class=""><span class="text-[1.5rem] md:text-[1.75rem]">Zero Coupon</span></li></ul></div></div></div></div><div></div></div></div></div><div id="integration-id-052f6ea" class="flex text-black border-primary border-2 border-solid w-96"><div data-tileitem="true" class="flex flex-col-reverse w-96"><div class="flex flex-1 justify-between gap-8 p-8 flex-col"><div><div class="mt-10"><div id="integration-id-f3ad9ed" class=""><div class="text-center"><h4 class="m-0 font-headings border-0 pb-0 mers:border-b-2 mers:border-solid mers:border-secondary mers:pb-2.5 print:orphans-3 print:widows-3 font-medium normal-case leading-none print:break-after-avoid text-xl imt:text-lg md:text-3xl md:imt:text-[1.5rem] imt:mb-6">Bond Issues</h4><div class="mb-6"></div><p class="print:orphans-3 print:widows-3 print:text-black mb-6 last:mb-0">Efficiently and transparently trade thousands of debt securities.</p></div></div></div></div><div><div id="integration-id-9455b6d" class=""><div class="text-center"><p class="print:orphans-3 print:widows-3 print:text-black mb-6 last:mb-0"><a data-is-button="true" href="/publicdocs/nyse/NYSE_Bond_Master_List.csv" target="_blank" rel="noopener noreferrer" data-checked="false" class="font-medium justify-center items-center no-underline focus-within:outline-none focus:outline-none focus-within:ring focus:ring leading-tight align-middle duration-75 active:shadow-none active:translate-y-px max-w-full select-none bg-black admin:bg-primary text-white border-white shadow-lg hover:text-primary admin:hover:text-white active:text-primary admin:hover:text-white active:shadow-none checked:text-primary text-xs md:text-sm gap-1 md:gap-4 border rounded-tl rounded-tr rounded-bl rounded-br inline-flex px-6 md:px-12 py-1 md:py-2 cursor-pointer uppercase flex-row-reverse break-words"><span><svg stroke="currentColor" fill="currentColor" stroke-width="0" viewBox="0 0 16 16" height="1em" width="1em" xmlns="http://www.w3.org/2000/svg"><path fill-rule="evenodd" clip-rule="evenodd" d="M10.072 8.024L5.715 3.667l.618-.62L11 7.716v.618L6.333 13l-.618-.619 4.357-4.357z"></path></svg></span><span>VIEW THE LIST</span></a></p></div></div></div></div></div></div></div><style>#\:34592\:R2tdkp\:\:main{grid-template-columns:repeat(1,384px);}#\:34592\:R2tdkp\:\:main>:nth-last-child(-n+0),#\:34592\:R2tdkp\:\:last-row>:not(:nth-last-child(-n+0)){display:none;}</style></div></div></div><div class="h-16"></div></div><div id="integration-id-6925fdd" class=""><div id="integration-id-e2afe44" class=""><div class="text-center"><h2 class="m-0 font-headings border-0 pb-0 mers:border-b-2 mers:border-solid mers:border-secondary mers:pb-2.5 print:orphans-3 print:widows-3 font-medium normal-case leading-none print:break-after-avoid text-3xl imt:text-[1.75rem] md:text-5xl md:imt:text-4xl imt:mb-6">Corporate Structured Products</h2><hr class="border-0 border-black border-t-2 w-1/5 border-solid mx-auto mt-4 mb-4"/></div></div><div class="h-6"></div><div id="integration-id-b756269" class=""><h4 class="m-0 font-headings border-0 pb-0 mers:border-b-2 mers:border-solid mers:border-secondary mers:pb-2.5 print:orphans-3 print:widows-3 font-medium normal-case leading-none print:break-after-avoid text-xl imt:text-lg md:text-3xl md:imt:text-[1.5rem] imt:mb-6">Capital Securities</h4><div class="mb-4"></div><p class="print:orphans-3 print:widows-3 print:text-black mb-6 last:mb-0">Typically a trust preferred security. A company establishes a trust, which sells trust preferred securities in a public offering. The proceeds from the sale of the trust preferred securities are used to purchase junior subordinated debentures of the parent company. The company makes interest payments to the trust, which are passed on as distributions to the trust preferred security holders. At maturity the trust returns the face amount of the trust preferred securities to the holders, using the principal of the debt securities received by the trust upon the simultaneous maturity of the debt securities. Trust preferred securities – and the underlying debt securities – typically have a long maturity (at least 30 years) subject to an earlier optional redemption by the company.</p><p class="print:orphans-3 print:widows-3 print:text-black mb-6 last:mb-0"></p><h4 class="m-0 font-headings border-0 pb-0 mers:border-b-2 mers:border-solid mers:border-secondary mers:pb-2.5 print:orphans-3 print:widows-3 font-medium normal-case leading-none print:break-after-avoid text-xl imt:text-lg md:text-3xl md:imt:text-[1.5rem] imt:mb-6">Mandatory Convertible Securities</h4><div class="mb-4"></div><p class="print:orphans-3 print:widows-3 print:text-black mb-6 last:mb-0">A hybrid security that by its terms converts into a variable number of shares of common stock of the issuer based on the market price of the common stock at the time of conversion. Mandatory convertible securities are typically sold as units consisting of (i) a forward contract to purchase common stock on a predetermined date at a price based on a disclosed formula and (ii) debt securities that are used as collateral for the investor’s obligation under the purchase contract. The holders of the mandatory convertible securities receive distributions of interest on the debt securities up to the conversion date. Typically, the issuer will remarket the debt securities prior to the conversion date at an interest rate that is reset to reflect the then current market rate. If the remarketing is successful, the proceeds will be used to make the required payments under the purchase contracts. If the remarketing is unsuccessful, the issuer will retire the debt securities in lieu of receiving the required payments under the purchase contracts.</p><p class="print:orphans-3 print:widows-3 print:text-black mb-6 last:mb-0"></p><h4 class="m-0 font-headings border-0 pb-0 mers:border-b-2 mers:border-solid mers:border-secondary mers:pb-2.5 print:orphans-3 print:widows-3 font-medium normal-case leading-none print:break-after-avoid text-xl imt:text-lg md:text-3xl md:imt:text-[1.5rem] imt:mb-6">Repackaged Securities</h4><div class="mb-4"></div><p class="print:orphans-3 print:widows-3 print:text-black mb-6 last:mb-0">Repacks are trust certificates that represent an interest in the assets of a single trust. A sponsor, typically an investment bank, purchases corporate debt or capital securities of an unrelated company and sells the securities to a newly formed trust. The Repacks issued by the trust have set maturity dates which correspond to the maturity of the underlying securities and typically range from 25 to 50 years, but can be called prior to maturity, typically at par or face value. A typical Repack also offers a call protection period, generally five to seven years from issuance, and is subject also to a call of the underlying securities.</p><p class="print:orphans-3 print:widows-3 print:text-black mb-6 last:mb-0"></p><h4 class="m-0 font-headings border-0 pb-0 mers:border-b-2 mers:border-solid mers:border-secondary mers:pb-2.5 print:orphans-3 print:widows-3 font-medium normal-case leading-none print:break-after-avoid text-xl imt:text-lg md:text-3xl md:imt:text-[1.5rem] imt:mb-6">Retail Debt Securities</h4><div class="mb-4"></div><div>Corporate debt issued by listed companies, affiliates of listed companies, and non-listed companies that are traded on the Exchange floor and designed for sale to the retail investor, typically denominated in $50, $25 or $10.</div></div><div class="h-16"></div></div></div></div><div><div id="integration-id-4d59614" class="contents nyse"><div id="integration-id-dfe4c2b" data-testid="belt" class="px-3 lg:px-24 bg-gray-200 pb-10 pt-24 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