Tranche 1: $500m Reg S/144A senior secured
Maturity: 15 August 2025
Issue/reoffer price: 99.412%
Spread at reoffer: 2.75%
Tranche 2: $750m Reg S/144A senior secured
Maturity: 15 August 2030
Issue/reoffer price: 98.939%
Spread at reoffer: 3.375%
Launched: Wednesday, July 15
Payment date: July 23Joint books: Citi, Deutsche Bank, ING, Mizuho, MUFG, SMBC, Société Générale, ...
Please take a trial or subscribe to access this content.
Contact our subscriptions team to discuss your access: firstname.lastname@example.org