Amount: Eu1.5bn fungible with Eu3bn issue launched 13 January 2009
Maturity: 15 April 2014
Issue/re-offer price: 99.077
Spread at re-offer: 50bp over mid-swaps; 98.5bp over the 4.25% January 2014 Bund
Launched: Tuesday 24 January
Payment date: 1 April
Joint books: HSBC, JPMorgan, Société Générale, UBS
Borrowers comment:We have been looking for tap alternatives ...
Please take a trial or subscribe to access this content.
Contact our subscriptions team to discuss your access: email@example.com