CCY | SZE(M) | TNR | MTY | RNK | MO | SP | FI | TYPE | BNCH | IPT | GDNC | SPRD | CPN | NIC | PRICE |
---|
USD | 600.000 | 5 | Dec-25 | Sr. Unsecured | B2 | B | - | Fixed | Tsy | - | 7.5-7.625% | 722 | 7.63% | - | 100.00000 |
Tranche Comments
5 yr: Redemption: 2022-12-15; Registration: 144A/Reg S; Comments: US$600m(upsized fron US$550m) 7.625% cpn 5-year(12/15/25) at 100, yld 7.625%. Spread: T+722bp. MWCT+50bp. Call Schedule: 12/15/2022 103.812, 12/15/2023 101.906, 12/15/2024 and thereafter 100.00. Cusip 144a: 095796AH1 . Settlement: 12/22;
Deal Comments
Active Bookrunners: RBC, WFS. Passive Bookrunners: BRC, BBV, COS, TRU, USB
Use of Proceeds
Refinancing and general corporate purposes
CCY | SZE(M) | TNR | MTY | RNK | MO | SP | FI | TYPE | BNCH | IPT | GDNC | SPRD | CPN | NIC | PRICE |
---|
TWG | 890.000 | 9 | Dec-00 | Dffuqy | F2 | S | - | Srpsw | Cum | - | 6.75% s | 369 | 6.63% | - | 897.00000 |
Tranche Comments
8 gg: First Pay: 2019-06-15; Registration: 144Q/Xbw Y; Comments: RM$300v 8ud rm3 rcjqt bj 6.625%. YARZP RJAMn 6.75% bdqb. Jccst mjctq bj 2kv, kdimiro jvqdqbmjqd. YYn Wc. JSn Wc. Rbu Zbjjn Wc;
Use of Proceeds
Gkkum qbhks