Amount: £250mMaturity: 29 December 2015
Issue/fixed re-offer price: 99.834Coupon: 6.125%
Spread at re-offer: 295bp over the 4.75% September 2015 UKTLaunch date: Thursday 18 December
Payment date: 29 DecemberJoint books: HSBC, Royal Bank of Canada
Bookrunners comment:This was quite an opportunistic trade, taking advantage of an opening in the market. We approached ...
Please take a trial or subscribe to access this content.
Contact our subscriptions team to discuss your access: firstname.lastname@example.org