Amount: Eu2bn fungible with Eu3bn deal launched 7 November 2007
Maturity: 15 October 2014
Issue/re-offer price: 100.149
Spread at re-offer: mid-swaps less 17bp; 27.4bp over the July 2014 Bund
Launched: Thursday 10 January
Payment date: 17 January
Joint books: BNP Paribas, JP Morgan, UBS
Bookrunners comment:This transaction is a tap ...
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