Complete, always up-to-date list of Caterpillar bonds outstanding: for each bond you get ISIN, coupon type, currency, maturity and trading venue. Caterpillar is a industrials issuer based in United States; issues may come from the parent company or its financing entities. Data from the official EU register (FIRDS/ESMA), refreshed weekly. This page does not show market prices.
| Bond | ISIN | Type | Coupon | Currency | Maturity ↑ | Exchange |
|---|---|---|---|---|---|---|
| Caterpillar INC 6.625% — Jul 2028 CATERPILLAR INC/6.625 DEB 20280715 | US149123BF74 | Fixed rate | 6.625% | USD | 2028-07-15 | not on a retail exchange |
| Caterpillar FIN 0.668% — May 2029 CATERPILLAR FIN/0.6675 BD 20290523 | CH1415780134 | Fixed rate | 0.6675% | CHF | 2029-05-23 | Börse Stuttgart |
| Caterpillar INC 2.6% — Sep 2029 CATERPILLAR INC/2.6 SR NT 20290919 | US149123CG49 | Fixed rate | 2.6% | USD | 2029-09-19 | Börse Düsseldorf · Börse Frankfurt +3 |
| Caterpillar INC 2.6% — Apr 2030 CATERPILLAR INC/2.6 SR NT 20300409 | US149123CH22 | Fixed rate | 2.6% | USD | 2030-04-09 | Börse Düsseldorf · Börse Frankfurt +3 |
| Caterpillar INC 1.9% — Mar 2031 CATERPILLAR INC/1.9 SR NT 20310312 | US149123CK50 | Fixed rate | 1.9% | USD | 2031-03-12 | Börse Düsseldorf · Börse Frankfurt +2 |
| Caterpillar INC 7.3% — May 2031 CATERPILLAR INC/7.3 DEB 20310501 UN | US149123BJ96 | Fixed rate | 7.3% | USD | 2031-05-01 | not on a retail exchange |
| Caterpillar INC 5.2% — May 2035 CATERPILLAR INC/5.2 SR NT 20350515 | US149123CL34 | Fixed rate | 5.2% | USD | 2035-05-15 | Börse Düsseldorf · Börse Frankfurt +3 |
| Caterpillar INC 5.3% — Sep 2035 CATERPILLAR INC/5.3 DEB 20350915 UN | US149123BL43 | Fixed rate | 5.3% | USD | 2035-09-15 | not on a retail exchange |
| Caterpillar INC 6.05% — Aug 2036 CATERPILLAR INC/6.05 NT 20360815 UN | US149123BN09 | Fixed rate | 6.05% | USD | 2036-08-15 | not on a retail exchange |
| Caterpillar INC 8.25% — Dec 2038 CATERPILLAR INC/8.25 NT 20381215 UN | US149123BR13 | Fixed rate | 8.25% | USD | 2038-12-15 | not on a retail exchange |
| Caterpillar INC 5.2% — May 2041 CATERPILLAR INC/5.2 SR NT 20410527 | US149123BS95 | Fixed rate | 5.2% | USD | 2041-05-27 | Börse Düsseldorf · Börse Frankfurt +3 |
| Caterpillar INC 6.95% — May 2042 CATERPILLAR INC/6.95 DEB 20420501 U | US149123BK69 | Fixed rate | 6.95% | USD | 2042-05-01 | not on a retail exchange |
| Caterpillar INC 3.803% — Aug 2042 CATERPILLAR INC/SR NT 20420815 SR S | US149123CB51 | Fixed rate | 3.803% | USD | 2042-08-15 | Börse Düsseldorf · Börse Frankfurt +3 |
| Caterpillar INC 4.3% — May 2044 CATERPILLAR INC/4.3 GTD SUB NT SUB | US149123CD18 | Fixed rate | 4.3% | USD | 2044-05-15 | Börse Düsseldorf · Börse Frankfurt +2 |
| Caterpillar INC 3.25% — Sep 2049 CATERPILLAR INC/3.25 SR NT 20490919 | US149123CF65 | Fixed rate | 3.25% | USD | 2049-09-19 | Börse Düsseldorf · Börse Frankfurt +3 |
| Caterpillar INC 3.25% — Apr 2050 CATERPILLAR INC/3.25 SR NT 20500409 | US149123CJ87 | Fixed rate | 3.25% | USD | 2050-04-09 | Börse Düsseldorf · Börse Frankfurt +2 |
| Caterpillar INC 5.5% — May 2055 CATERPILLAR INC/5.5 SR NT 20550515 | US149123CM17 | Fixed rate | 5.5% | USD | 2055-05-15 | Börse Düsseldorf · Börse Frankfurt +1 |
| Caterpillar INC 4.75% — May 2064 CATERPILLAR INC/4.75 GTD SUB NT SUB | US149123CE90 | Fixed rate | 4.75% | USD | 2064-05-15 | Börse Düsseldorf · Börse Frankfurt +3 |
| Caterpillar INC 7.375% — Mar 2097 CATERPILLAR INC/DEB DTD 02/28/1 | US149123BE00 | Fixed rate | 7.375% | USD | 2097-03-01 | not on a retail exchange |
Right now the official EU register (FIRDS/ESMA) reports 19 not yet matured, issued by 2 group entities. The list refreshes weekly together with the register.
No. They are corporate bonds — loans to a company (Caterpillar), not to a state. Risk and return depend on the issuer's credit standing, not a government's.
No. This is a registry — ISIN, coupon type, currency, maturity, venue — not a price list: prices change constantly and you'll see them at your broker. If you have a price, you can estimate the yield to maturity with the Rebalix calculator.
It's the 12-character international code that uniquely identifies each bond: using it with your broker avoids mix-ups between similarly named issues.
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