bondScovery

Cayman Islands Transportation Corporate Bond Yields (USD)

Fitted spot curve as of 2026-07-27

https://bondscovery.com/yield-curve/usd-corporate-transportation-cayman-islands

Cayman Islands Transportation Corporate Bond Yields (USD) as of 2026-07-27: 7Y at 5.61%, fitted curve 6M–7Y (4.68%–5.61%), 28 bonds. Live chart, constituents and forward rates on bondScovery.

View this curve live →Yield curves
5%5.5%6%3M12M2Y5Y10Y20Y30Y50Y
Fitted spot curve (solid) · forward rates (dashed) — click to open the interactive chart
MaturityFitted yieldForward rate
6M4.68%
18M4.92%5.04%
2Y5.03%5.35%
3Y5.22%5.60%
4Y5.37%5.81%
5Y5.48%5.92%
6Y5.56%5.96%
7Y5.61%5.95%

2Y, 10Y and the 10Y−2Y spread over time

4.7%4.8%4.9%5%5.1%May 4Jun 1Jun 29Jul 272Y
2Y (dashed) and 10Y (solid) fitted yields over time — click to open the interactive Time view

Fitted 2Y and 10Y yields and their spread, sampled one build date per month. See all inverted curves today →

TenorLatest2026-07-271m ago2m ago2026-05-203m ago2026-05-04
2Y5.03%4.87%4.80%
10Y
10Y − 2Y
Explore the Time view live →

Yields by rating group

The same curve split by credit quality: 34 rated bonds across 2 rating bands, all maturities pooled. Median yield by band: A+ to BBB- 5.20%, Speculative 5.87%.

5%10%15%A+ to BBB-5.20%Speculative5.87%
Each dot is one bond, all maturities pooled (dimmed = older quote); the horizontal marker is the band median — click to open the interactive chart by rating group
Explore yields by rating live →

Bonds in this curve

A selection of 30 of the 34 bonds behind this curve, spread across maturities. Greyed rows carry an older quote.

IssuerYieldMaturityCouponISIN
Avolon Holdings Funding LTD4.99%2027-02-153.25%USG0686BAH27
Avolon Holdings Funding LTD4.35%2027-02-153.25%US05401AAJ07
Avolon Holdings Funding LTD4.76%2027-11-182.53%US05401AAR23
Avolon Holdings Funding LTD4.90%2027-11-182.53%USG0686BAN94
Avolon Holdings Funding LTD5.05%2028-01-154.95%USG0686BAU38
Avolon Holdings Funding LTD4.86%2028-01-154.95%US05401AAW18
Avolon Holdings Funding LTD4.90%2028-02-212.75%US05401AAP66
Avolon Holdings Funding LTD4.77%2028-02-212.75%USG0686BAM12
Abra Global Finance4.64%2028-03-025.00%USG00912AD04
Avolon Holdings Funding LTD4.64%2028-05-046.38%USG0686BAP43
Avolon Holdings Funding LTD5.05%2028-05-046.38%US05401AAS06
Avolon Holdings Funding LTD5.27%2029-03-015.75%USG0686BAS81
Avolon Holdings Funding LTD5.14%2029-03-015.75%US05401AAU51
Avolon Holdings Funding LTD5.24%2029-04-154.20%USG0686BBB48
Aadvantage Loyalty IP LTD / American Airlines INC6.00%2029-04-205.75%USG0R209AB68
Aadvantage Loyalty IP LTD / American Airlines INC5.75%2029-04-205.75%US00253XAB73
Avolon Holdings Funding LTD5.34%2029-11-155.75%USG0686BAT64
Avolon Holdings Funding LTD5.24%2029-11-155.75%US05401AAV35
Avolon Holdings Funding LTD5.36%2030-01-155.15%USG0686BAV11
Avolon Holdings Funding LTD5.13%2030-01-155.15%US05401AAX90
Avolon Holdings Funding LTD5.23%2030-05-305.38%US05401AAZ49
Avolon Holdings Funding LTD5.17%2030-05-305.38%USG0686BAX76
Avolon Holdings Funding LTD5.44%2030-10-104.90%USG0686BAY59
Avolon Holdings Funding LTD5.35%2030-10-104.90%US05401ABA88
Avolon Holdings Funding LTD5.36%2031-01-304.70%US05401ABD28
Avolon Holdings Funding LTD5.36%2031-01-304.70%USG0686BBA64
Avolon Holdings Funding LTD5.69%2032-10-154.95%USG0686BAZ25
Avolon Holdings Funding LTD5.64%2032-10-154.95%US05401ABC45
Avolon Holdings Funding LTD5.71%2033-04-014.85%USG0686BBC21
Avolon Holdings Funding LTD5.68%2033-04-014.85%US05401ABF75
See the full list of bonds →