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Kohls 5.125% May 2031

Yield: 12.26%
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Bond information
Kohls
US500255AX28
United States of America United States of America
USD
Diversified Retail
5.13 %
Variable
Semiannually
01-05-2026
31-03-2021
01-05-2031
2,000
500 mln
No
Premium
Senior
Yes
Next call date:
01-02-2031
Next call price:
100
Market
as of 30-03-2026 17:30 CET
Bid Offer
Price, % 72.5 Firm price 73.55 Firm price
Yield, % 12.61 12.26
Yield after tax, % Premium
Deposit spread, % 11.28 10.93
Tenor, years 5.09
Duration 4.08
Brokers
Premium
About Kohls
Kohl's Corporation is the largest department store chain in the United States by store count, operating 1.153 stores as of 2025. The company targets value-oriented, middle-income shoppers, offering apparel, footwear, home goods, and beauty products. About 80% of Americans live within 15 miles of a Kohl's store, which gives it an unusually wide physical reach. The business operates as a single retail segment. A notable strategic addition has been Sephora shop-in-shops, now present in over 1.100 stores, which has brought in younger customers but has not been enough to offset weakness in the company's core apparel and home categories. The key credit concern is a prolonged revenue decline. Net sales fell from a post-pandemic peak of around $18,4 billion in fiscal 2021 to approximately $15 billion in fiscal 2024, with further decline expected in fiscal 2025 and 2026 (guidance: flat to -2%). EBITDA margins have dropped below 10%, compared to a 10–16% range for peer department stores such as Macy's, Nordstrom, and Dillard's. A further structural risk is the competitive landscape: consumers have more e-commerce and discount alternatives than ever, including Amazon's growing apparel offer, which puts ongoing pressure on Kohl's value positioning. Adding to the uncertainty, the company has gone through three CEO changes in three years, with each bringing a different strategy — none of which has restored the pre-pandemic revenue base. A permanent CEO had not yet been appointed as of the latest available information. On the positive side, fiscal year 2025 (ended January 31, 2026) showed meaningful improvement in cash generation and balance sheet strength. Free cash flow reached $1,0 billion, compared to $182 million the prior year, supported by tighter inventory management and cost discipline. Net financial debt (excluding lease liabilities) stood at $762 million, giving a net debt/EBITDA ratio of 0,6×. The company holds $674 million in cash with no drawings on its $1,5 billion revolving credit facility and no near-term debt maturities. Total financial debt is $1,4 billion. Share buybacks remain suspended, with capital allocation focused on debt reduction and maintaining a modest dividend of $0,50 per share annually. Kohl's senior unsecured bonds are rated B3 by Moody's (outlook stable), B+ by S&P (outlook negative), and the issuer's long-term IDR is BB- by Fitch (outlook stable). Publication date: 13-03-2026
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