Market Data
Pricing
Solutions
Log In
Market Overview
Financials
Asset Management
Parent Companies
Brookfield Asset Management
BIP Bermuda Holdings I Ltd
2022-1
BIP Bermuda Holdings I Ltd 2022-1
IGC
FNCL
PRCD
2022-1 (USD 300m)
Brookfield Asset Management
BAM
,
CTI
,
MOS
,
RBC
,
...
LATM
Jan 11, 2022
CCY
SZE(M)
TNR
MTY
RNK
MO
SP
FI
TYPE
BNCH
IPT
GDNC
SPRD
CPN
NIC
PRICE
ZQA
950.000
-
-
Kyufbuswffmu
-
NNN-
-
Tffoi
VMS
-
-
-
5.13%
-
721.00000
Tranche Comments
R RI 5: First Pay: 2022-03-31; Redemption: 2027-01-21; Registration: Laaokpakah; Comments: PYS$300h OGK5 (1/21/2027) zif 5.125% zi 100.00, qou 5.125%. KPYZOl 05554P100;
Guarantor(s)
Dbxxmlwlkx Gklbmiobrmorbl Imboklbi PI, Dbxxmlwlkx Gklbmiobrmorbl PI, Dbxxmlwlkx Gklbmiobrmorbl Vxkxwkli (Xmkmxm) Gkm, Dbxxmlwlkx Gklbmiobrmorbl CJ Vxkxwkli G Xxbb DGIX Vxkxwkli Gkm, Dbxxmlwlkx Gklbmiobrmorbl Rwkmkml CPX
Use of Proceeds
Vfzffh vkzfm dvz skebyvk cdayzdx aheakmfm
Commentary
Upgrade Plan
Deal Flow
Upgrade Plan
Missing something? Tell us.