Maturity: 28 February 2022
Issue price: 100.937
Fixed re-offer price:100.187
Spread at re-offer: 15bp over mid-swaps
Launched: Tuesday 31 January
Payment date:28 February
Sole manager:Credit Suisse
Bookrunners comment:Kommuninvests rarity value was key in this transaction given the low rates environment in this market. This borrower priced its most recent ...
Please take a trial or subscribe to access this content.
Contact our subscriptions team to discuss your access: email@example.com