Maturity: 9 April 2021
Issue/fixed re-offer price:98.147
Spread at re-offer: 6.375% yield or 408.4bp over US Treasuries
Launched:Wednesday 3 November
Payment date:11 November
Joint books:Credit Suisse, Royal Bank of Scotland, UBS
Bookrunners comment:We announced the deal on Monday, following it up with meetings in London and conference ...
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