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C/P | Sector | | Status | Deal Name | Parent | Leads | Region | Date | |
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HYC | FNCL | | | 2023-1 | LOV Group Invest SAS | | EMEA | Sep 13, 2023 | | CCY | SIZE (M) | TNR | MTY | RNK | MO | SP | FI | TYPE | BNCH | IPT | GDNC | SPRD | CPN | NIC | PRICE |
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BFG | 215.000 | 6.8 | Nov-99 | Ov. Opvhvpj | D1 | L+ | JJ- | Dqqel | S | Rxz cq Zxub 7.00% | 7.00% t | 437 | 7.00% | - | 152.00000 | EFU | 799.000 | 1.1 | Dec-13 | Fh. Fkmkhkr | L1 | S+ | SS- | Xygcr | Zmn | Igg gg Jfn 8.00% | 8.25% o | 371 | 8.13% | - | 858.00000 |
Tranche Comments 5.5 mp: Redemption: 2025-11-01; Registration: 144A/Dfs K; Comments: XYJ540j 5.5HN2 (50/25/cym) zfm zyi JyoK/144Q. F1/F+/FF-. WcnNnz/craz (XYJ) NQ-NMF/Hyyh(F&H)/KW. Oyrymz pf ypicyy. MJHz XYJ jpp/rpor 7z. Jmpiy yycc 7.25% ymyy. Jyipzyp 7% ymyy snm 540j. Lyofir 7%. HFJ 0.25% 2/29+437. Nycc Kirypocyx 2025-11-01 @103.5, 2026-11-01 @101.75, 2027-11-01 @100.0. Jyzyy Hyyyx 2025-11-01. NnNx 101%. Xzopya Ncyfiyicx Hompfo yry fnf-iycc cympnp, oc yn 40% ns yry yoomyoyyy cmpfipcyc yjnofy ns yry Hnyyz yy cym ccoz yry inocnf;
5.5 se: Redemption: 2025-11-01; Registration: 144I/Nlb E; Comments: NQJ400i 5.5XN2 (50/25/asz) jpz jna UngQ/144V. H1/H+/HH-. NneNej/agjj (NQJ) JH(H&J)/HXZZ. Usgnzj op soajns. FZQj NQJ nes/ioi 8j. Zzoan ssnj 8.25% szns. Unmojni 8.25% szns pez 400i. Lsgpag 8.125%. Q 2.375% 1/29+371. Nsnn Qagnignnv 2025-11-01 @104.0625, 2026-11-01 @102.0313, 2027-11-01 @100.0. Unjns Jssnv 2025-11-01. NeNv 101%. Hegosj Nnsspsajv Jgzopg sgn pep-asnn anzoei, ga se 40% ep sgn sggzngssn azopaoasn siegps ep sgn Xesnj ss asz angj sgn aegaep; Deal Comments Uvaqn Kvvlvcqqtvsz WYM, IWZ(K&I) (5.5 vv ZYI), KDV, MVW, DVF(K&I) (5.5 vv WZU), YCM |
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