Trane Technologies Financing Ltd (TT) 2023-1

USD700.00010Mar-33Sr. UnsecuredBaa2BBB-FixedTsyT+175 aT+1421425.25%-399.86900
Tranche Comments
10 yr: Book size: 3000; First Pay: 2023-09-03; Redemption: 2032-12-03; Registration: Registered; Comments: US$700m 5.25% cpn 10yr (3/3/33) at 99.869, yld 5.267%. Spread: T+142bp. MWC T+25bp. Par Call: 3m;
Trane Technologies Plc, Trane Technologies HoldCo Inc, Trane Technologies Global Holding Company Ltd, Trane Technologies Lux International Holding Company SARL, Trane Technologies Irish Holdings Unlimited Co, Trane Technologies Company LLC
Use of Proceeds
Repay notes and for general corporate purposes