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New Issue Deal Count

Recent New Issue

CCYSZE(M)TNRMTYRNKMOSPFITYPEBNCHIPTGDNCSPRDCPNNICPRICE
GBP400.0005Nov-25Sr. SecuredB2B+B+FixedGHi 7-8%7.75%7787.75%-100.00000
EUR740.0005Nov-25Sr. SecuredB2B+B+FixedBHi 6-7%6.75%7536.75%-100.00000
EUR600.0005.5May-26Sr. SecuredB2B+B+Floating3mEuHi 6-7%--3mEu+625-100.00000
Tranche Comments
5 yr: Redemption: 2022-11-01; Registration: 144A/Reg S; Comments: GBP400m 5NC2yr (25%/par) fxd snr sec RegS/144A. With EURs, total £1.6bn. B2/B+/B+. GCs GS(left)/CS, JBs BNPP/Citi/DB/HSBC/ING/JPM/Lloyds/MUFG/NatWest/Nordea. IPTs High 7%s/8%, set 7.75%, G+778 vs 0.625% 6/25. FTT 8am Monday. ISINs: RegS XS2250154494 / 144a XS2250154817; 5 yr: Redemption: 2022-11-01; Registration: 144A/Reg S; Comments: EUR740m 5NC2yr (25%/par) fxd snr sec RegS/144A. With GBP/EUR FRN, total £1.6bn. B2/B+/B+. GCs GS(left)/CS, JBs BNPP/Citi/DB/HSBC/ING/JPM/Lloyds/MUFG/NatWest/Nordea. IPTs High 6%s/7%, sized 740m at 6.75%, B+753 vs 0% 10/25. FTT 8am Monday. ISINs: RegS XS2250153769 / 144A XS2250154148; 5.5 yr: First Pay: 2021-02-01; Redemption: 2021-11-01; Registration: 144A/Reg S; Comments: EUR600m 5.5NC1yr (101/par) FRN snr sec RegS/144A. With GBP, EUR fxd, total £1.6bn. B2/B+/B+. GCs GS(left)/CS, JBs BNPP/Citi/DB/HSBC/ING/JPM/Lloyds/MUFG/NatWest/Nordea. IPTs high 6%s/7% yld (OID 98.00-98.50), set 600m @E+625 at 98.50, FTT 8am Monday. ISINs: RegS XS2250154494 / 144a XS2250154817;
Use of Proceeds
Repay debt and general corporate purposes

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