Maturity: 26 September 2022
Issue/fixed re-offer price:99.244
Spread at re-offer:445.3bp over US Treasuries
Launched:Wednesday 18 January
Payment date:26 January
Joint books:Barclays Capital, Citi, JP Morgan
Bookrunners comment:Despite pricing a little later in the month than usual, there was clearly no shortage of cash for ...
Please take a trial or subscribe to access this content.
Contact Mark Goodes to discuss your access: email@example.com