CCY SZE(M) TNR MTY RNK MO SP FI TYPE BNCH IPT GDNC SPRD CPN NIC PRICE USD 600.000 10 Feb-31 Sr. Unsecured Baa3 BB+ BBB- Fixed Tsy T+250 a T+212.5 a 200 3.25% -10 99.74600
Tranche Comments
10 yr: Book size: 5400; Registration: 144A/Reg S; Comments: US$600m (02/25/2031) at 99.746; 3.25%C, 3.28Y%. T+200bp. S/D 2/25;
Deal Comments
Active Bookrunners: CTI(B&D), BAM, JPM. Passive Bookrunners: BBV, BNP, HSB, SMB, MUF
Guarantor(s)
GrupoPetrotemex SA de CV, DAK Americas LLC, DAK ResinasAmericas Mexico SA de CV, TereftalatosMexicanos SA de CV, AkraPolyester SA de CV, and DAK Americas Mississippi Inc
Use of Proceeds
Repay debt and general corporate purposes
CCY SZE(M) TNR MTY RNK MO SP FI TYPE BNCH IPT GDNC SPRD CPN NIC PRICE MMJ 413.000 98 Jul-01 - Xtt3 PPP- HHH- Xlwyk - 5.375-5.50% - 237.5 5.38% - 930.00000
Tranche Comments
10 vc: Registration: 144Y/Alp U; Comments: KMM300l 144B/Bqu M 10-dqbb wxwq. MBCna 5.375%-5.50%;
Use of Proceeds
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