Amount: £250m of non-preferred paper
Maturity: 20 December, 2030
Issue/reoffer price: 99.302
Spread at reoffer: mid-Gilts plus 133bp
Launch date: Tuesday, April 20
Payment date: April 27
Joint books: Barclays, Credit Suisse, Lloyds, NatWest Markets
“…we spotted fair value for the trade in the context of 130bp.”“…the deal priced with a ...
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