POST-TRANSACTION PAYMENT ENABLEDBOND COMPLEXITY : MODERATEISIN: US14913V2E72
CAT 4.650% 14Aug2029 Corp (USD)
CATERPILLAR FINANCIAL SERVICES CORP
Indicative Bid Price
100.044
Bid Yield to Maturity
4.633%
Min. Investment (Nominal)
1000
Indicative Ask Price
100.166
Ask Yield to Maturity
4.588%
Maturity Date
13 Aug 2029
Credit Rating (Bond)
High Investment Grade
Seniority
Investor Profile
Stable Income Seeker
Chart
Created with Highcharts 9.3.2Bid Yield to MaturityAsk Yield to Maturity10. Aug12. Aug14. Aug16. Aug18. Aug20. Aug22. Aug24. Aug26. Aug4.5254.554.5754.64.6254.654.675FSM Global
Bond Information
Caterpillar Financial Services Corporation provides retail financing solutions. The Company offers financing and leasing services for gas turbines, machinery, compact equipment, engines, and lift trucks. Caterpillar Financial Services serves customers in the United States and Canada.
Bond Issuer
Caterpillar Financial Services Corp
Guarantor
-
Announcement Date
09 Aug 2026
Issue Date
13 Aug 2026
Maturity Date / Next Call Date
13 Aug 2029 (Maturity Date)
Years to Maturity / Next Call
2.957 / -
Issue/Reoffer Price
99.975
Issue/Reoffer Yield
4.659
Coupon Type
Fixed
Annual Coupon Rate (%)
4.65
Annual Coupon Frequency
Semi Annually
Seniority
Senior Unsecured
Exchange Listed
Others
Reference Rate
-
ISIN
US14913V2E72
CUSIP
14913V2E7
Bond Currency
USD
Total Issue Size
USD 1,050,000,000
Minimum Investment Quantity (Nominal)
USD 1,000
Incremental Quantity (Nominal)
USD 1,000
Bond Registration
Wholesale
Bond Type
Corporate
Bond Sector
Industrials
Bond Sub Sector
Machinery
Issuer Credit Rating (S&P/ Fitch)
***/A+
Bond Credit Rating (S&P/ Fitch)
***/A+
Shariah Compliant
No
W-8BEN Declaration needed 
Yes
Bond Feature(s)
We may redeem the notes at our option, in whole or in part, at any time and from time to time, at a redemption price (expressed as a percentage of principal amount and rounded to three decimal places) 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 on a semi-annual basis (assuming a 360-day year consisting of twelve 30-day months) at the Treasury Rate (as defined below) plus 10.0 basis points, less (b) interest accrued to the redemption date; and

(2) 100% of the principal amount of the notes to be redeemed; plus, in either case, accrued and unpaid interest thereon to the redemption date.
Price History
(Daily prices for the last 3 months), if you wish to view more than 3 months price history you may export the file
DATE
BID PRICE
ASK PRICE
ASK YIELD (MATURITY)
27 Aug 2026100.044100.1664.588
26 Aug 2026100.083100.2214.568
25 Aug 2026100.116100.2364.563
24 Aug 202699.980100.1224.605
23 Aug 202699.981100.1084.610
20 Aug 2026100.051100.1734.586
19 Aug 202699.966100.1344.601
18 Aug 2026100.063100.2154.572
17 Aug 2026100.022100.1854.583
16 Aug 2026100.016100.1874.582
Total of 14 entries
10 / Page
FSM Global strives to ensure the accuracy and relevance of the information provided here. If the information is not up-to-date or erroneous, we appreciate feedback to keep it accurate.
Credit Rating

There are no credit rating changes for this bond for the past 3 years.

Related Documents
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Prospectus
Caterpillar Financial Services Corporation Debt Securities. Prospectus dated March 27, 2026. Medium-Term Notes, Series L With Maturities of 9 Months or More from Date of Issue. Prospectus Supplement to Prospectus dated March 27, 2025.
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Pricing Supplement
MEDIUM-TERM NOTES, SERIES L, 4.650% Notes due 2029. Final Pricing dated August 12, 2026.
Related Bonds

No data available

FSM's Fees
For more information, please refer to the Pricing Structure
For each Buy & Sell Order (Retail^, Wholesale, Bond Express)
Processing Fee
0.35% / Min. SGD 10*
Platform Fee
0.05% per quarter
Other Charges
Goods & Services Tax (GST)
9% (GST is applicable to Singaporean residents on FSM’s fee)
Order Processing Time
Buy Wholesale Bonds / SGS Bonds / Retail (All payment type)
Generally T+2 business days upon payment clearance
Sell Wholesale Bonds / SGS Bonds / Retail Bonds
Generally T+2 business days (Redemption proceeds will be credited on next day)
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Remark

  1. *Processing fee is subjected to a minimum of SGD 10 (or in its equivalent currency).
  2. ^ For the purchase of the Retail Bonds, FSM Global will be absorbing SGX related Charges, till further notice.
  3. T = Transaction Date
    The Order processing time refers to the order completion and reflected in your account.
    ^The Purchase date will be based on T date

Platform Charge
  1. For the purpose of benefiting from lower rates based on higher investment holding tiers, the effective platform fee rate is based on the total combined holdings of all FSM accounts under main account holder (including beneficiary accounts), while Stock / ETF / Cash Account holdings are excluded from the combined holdings amount.
  2. Platform fee is charged for funds / bonds investments (excluding CPF holdings). The fee is accrued daily, calculated based on the daily average market value of the total Assets Under Administration (AUA) and deducted on a quarterly basis.

Note
  1. All fees and commission quoted are exclusive of Goods and Services Tax (GST).
  2. Platform fee is charged for funds / bonds investments (excluding CPF holdings). The fee is accrued daily, calculated based on the daily average market value of the total Assets Under Administration (AUA) and deducted on a quarterly basis.

Potential Income Explained
Est. Payable Amount
USD 1,013.47
Years to Maturity
2 years 11+ months
Est. Total Income
USD 139.50
Yield to Maturity
4.055%
Indicative Cash Flow
Nominal Value
USD 1,000.00
  • 2029
    Aug
    Coupon
    USD 23.25
    Maturity
    USD 1,000.00
  • Feb
    Coupon
    USD 23.25
  • 2028
    Aug
    Coupon
    USD 23.25
  • Feb
    Coupon
    USD 23.25
  • 2027
    Aug
    Coupon
    USD 23.25
Disclaimer: Cash flow calculations are computed based on current coupon rate till next possible call or maturity date. Figures reflected are indicative and subjected to changes in case of any corporate actions.
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