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Volkswagen Group 3.35% May 2025

Yield: -9.49%
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Bond information
Volkswagen Group US
USU9273ADA08
Germany Germany
USD
Automobiles & Auto Parts
3.35 %
Fixed
Semiannually
13-05-2020
13-05-2025
200,000
1,000 mln
No
Premium
Senior
No
Next call date:
Next call price:
Market
as of 12-05-2025 17:30 CET
Bid Offer
Price, % 99.96 Firm price 100.03 Firm price
Yield, % 18.34 -9.49
Deposit spread, % 16.77 -11.06
Tenor, years -0.84
Duration 0
Brokers Premium
About Volkswagen Group US
Volkswagen AG is one of the world’s largest automotive manufacturers, headquartered in Wolfsburg, Germany. The group produces passenger cars, commercial vehicles and mobility services through a wide portfolio of brands including Volkswagen, Audi, Porsche, Škoda, SEAT/Cupra, Bentley, Lamborghini and Ducati. The group also controls truck and bus producer Traton. Volkswagen operates globally with production and sales across Europe, China, North America and other regions, which provides geographic diversification but also exposes the company to changes in global car demand and competition in key markets. The company operates through two main divisions: Automotive and Financial Services. The Automotive division is the core business and includes passenger cars, commercial vehicles, power engineering and the truck business. Financial Services provides dealer financing, leasing, fleet management and insurance products to customers and dealers supporting vehicle sales. The automotive activities therefore generate the majority of group revenue and operating profit, while the financial services operations provide recurring financing income and support vehicle distribution. For the financial year 2025, Volkswagen delivered about 9,0 million vehicles worldwide. Group sales revenue amounted to €321,9 billion. Operating profit reached €8,9 billion, corresponding to an operating margin of 2,8%. Net cash flow in the Automotive division was €6,4 billion. Credit metrics remain supported by moderate leverage, with debt to EBITDA around 1,7× in 2024 used as a reference level by rating agencies when assessing the company’s balance sheet strength. At the same time, profitability is affected by high investments required for electrification of the vehicle fleet, development of software platforms and restructuring programs. Volkswagen’s credit profile reflects its large scale, strong brand portfolio and global market presence. At the same time, earnings remain sensitive to the cyclicality of the automotive market, price competition in China and the large capital expenditure needed to transition to electric vehicles. The group continues to invest heavily in new models, battery technology and software platforms while implementing cost reduction programs to protect margins in a challenging market environment. Volkswagen AG is currently rated Baa1 with stable outlook by Moody’s, BBB+ with negative outlook by S&P Global Ratings, A− with negative outlook by Fitch Ratings, and A (low) with negative trend by Morningstar DBRS. publication date: 12-03-2026
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