Ziggo Bond Co BV

Deals

CCYSZE(M)TNRMTYRNKMOSPFITYPEBNCHIPTGDNCSPRDCPNNICPRICE
EUR900.00010Feb-30Sr. UnsecuredB3B-B-FixedDBR3.5% a3.375%3733.38%-100.00000
USD500.00010Feb-30Sr. UnsecuredB3B-B-FixedTsy-5.375% a3485.13%-100.00000
Tranche Comments
10 yr: First Pay: 2020-07-15; Redemption: 2025-02-15; Registration: 144A/Reg S; Comments: EUR900m 10NC5yr snr RegS/144A, with USD500m. B3/B-/B-. Barc/Citi/DB(B&D USD)/HSBC(B&D EUR)/Medio/SG. EUR talk 3.5% area, set 3.375%.; 10 yr: Redemption: 2025-02-15; Registration: 144A/Reg S; Comments: US$500m 5.125% cpn 10-year(2/28/30) NC5 at 100, yld 5.125%. Spread: T+348bp. MWC T+50bp until 2/15/25 on or after 2/15/25 102.563, 2/15/26 101.281, 2/15/27 100.641, 2/15/28 and thereafter 100;
Deal Comments
DB(B&D USD), HSBC(B&D EUR).
CCYSZE(M)TNRMTYRNKMOSPFITYPEBNCHIPTGDNCSPRDCPNNICPRICE
YFL405.0008.53Jul-10WmqjosT3P-U-PcxtlD-101.50-102.004794.63%-103.60000
Tranche Comments
5.75 wc: First Pay: 2019-07-15; Redemption: 2020-01-15; Registration: 144F/Tnw I; Comments: OPK550x khzyhq gjj hk qh 400x 4.625% Qgk 2025 (VU 1/20 @102.313). Tgni 101.50-102.00. H3/H-/H-. Ueqe nmeq, QHk HTOP/SH/XN/SVX/Kgvh. SHK 1% Tiz 2024+479 (Nhiykmr SOK);
Refinancing
Yes

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