Fixed Income

American Tower Credit Ratings  

Agency Rating outlook
Fitch BBB+ Stable
Moody's Baa3 Stable
S&P BBB Stable

Existing Equity and Debt Securities  

Security CUSIP / ISIN
Common Code
maturity date
Common Stock 03027X100 / US03027X1000  
2.950% senior notes 03027XAV2 / US03027XAV29 1/15/2025
2.400% senior notes 03027XAZ3 / US03027XAZ33 3/15/2025
1.375% senior notes 03027X 308 / US03027X3089 4/4/2025
4.000% senior notes 03027X AG5 / US03027XAG51 6/1/2025
1.300% senior notes 03027XBB5 / US03027XBB55 9/15/2025
4.400% senior notes 03027XAJ9 / US03027XAJ90 2/15/2026
1.600% senior notes 03027X BL3 / US03027XBL38 4/15/2026
1.950% senior notes 03027XAS9 / XS1823300949 / 182330094 5/22/2026
1.450% senior notes 03027XBR0 / US03027XBR08 9/15/2026
3.375% senior notes 03027XAK6 / US03027XAK63 10/15/2026
2.750% senior notes 03027XAX8 / US03027XAX84 1/15/2027
3.125% senior notes 03027XAM2 / US03027XAM20 1/15/2027
0.450% senior notes XS2346206902 / 2346206902 1/15/2027
0.400% senior notes XS2393701284 / 2393701284 2/15/2027
3.650% senior notes 03027XBV1 / US03027XBV10 3/15/2027
4.125% senior notes XS2622275886 / 262227588 5/16/2027
3.550% senior notes 03027XAP5 / US03027XAP50 7/15/2027
3.600% senior notes 03027XAR1 / US03027XAR17 1/15/2028
0.500% senior notes XS2227905903 / 222790590 1/15/2028
1.500% senior notes 03027X BJ8 / US03027XBJ81 1/31/2028
5.500% senior notes 03027XBY5 / US03027XBY58 3/15/2028
5.250% senior notes 03027XCC2 / US03027XCC2 7/15/2028
5.800% senior notes 03027XCE8 / US03027XCE85 11/15/2028
5.200% senior notes 03027X CG3 / US03027XCG34 2/15/2029
3.950% senior notes 03027XAU4 / US03027XAU46 3/15/2029
0.875% senior notes XS2346207892 / 2346207892 5/21/2029
3.800% senior notes 03027XAW0 / US03027XAW02 8/15/2029
2.900% senior notes 03027XBA7 / US03027XBA72 1/15/2030
3.900% senior notes XS2830466137 / 283046613 5/16/2030
2.100% senior notes 03027XBC3 / US03027XBC39 6/15/2030
0.950% senior notes XS2393701953 / 2393701953 10/5/2030
1.875% senior notes 03027XBG4 / US03027XBG43 10/15/2030
2.700% senior notes 03027X BM1 / US03027XBM11 4/15/2031
4.625% senior notes XS2622275969 / 262227596 5/16/2031
2.300% senior notes 03027XBS8 / US03027XBS80 9/15/2031
1.000% senior notes XS2227906208 / 222790620 1/15/2032
4.050% senior notes 03027XBW9 / US03027XBW92 3/15/2032
5.650% senior notes 03027XBZ2 / US03027XBZ24 3/15/2033
1.250% senior notes XS2346208197 / 2346208197 5/21/2033
5.550% senior notes 03027XCD0 / US03027XCD0 7/15/2033
5.900% senior notes 03027XCF5 / US03027XCF50 11/15/2033
5.450% senior notes 03027X CH1 / US03027XCH17 2/15/2034
4.100% senior notes XS2830466301 / 283046630 5/16/2034
3.700% senior notes 03027XAY6 / US03027XAY67 10/15/2049
3.100% senior notes 03027XBD1 / US03027XBD12 6/15/2050
2.950% senior notes 03027X BK5 / US03027XBK54 1/15/2051
American Tower Secured Revenue Notes, Series 2015-2A 36246M AU3 / US36246MAU36 (Rule 144A)
U38288 AQ6 / USU38288AQ63
6/16/2025*
Secured Tower Revenue Securities, Series 2013-1A U0405D AL3 / USU0405DAL39 (Regulation S)
03027W AM4 / US03027WAM47 (Regulation 144A)
3/15/2028*
Secured Tower Revenue Securities, Series 2018-1A 03027WAK8 / USU0405DAK55 3/15/2028*
*Maturity date reflects anticipated repayment date.