CIT Group

  • 27 Apr 2006

Rating: A2/A

Tranche 1: $350m Eurodollar/global
Maturity: 27 April 2011
Issue price: 100.00
Coupon: three month Libor plus 23bp
Spread at re-offer: three month Libor plus 23bp

Tranche 2: $750m Eurodollar/global
Maturity: 27 April 2011
Issue price: 99.97
Coupon: 5.6%
Spread at re-offer: 71bp over the five year US Treasury

Launch date: Tuesday 24 April
Payment date:
Joint books: Barclays Capital, ...

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All International Bonds

Rank Lead Manager Amount $bn No of issues Share %
  • Last updated
  • Today
1 JPMorgan 92.45 326 9.11%
2 Citi 79.44 301 7.83%
3 BofA Securities 68.06 274 6.71%
4 Barclays 59.65 237 5.88%
5 Goldman Sachs 50.02 176 4.93%

Bookrunners of All Syndicated Loans EMEA

Rank Lead Manager Amount $bn No of issues Share %
  • Last updated
  • Today
1 Deutsche Bank 5.63 19 11.51%
2 JPMorgan 4.38 14 8.95%
3 BofA Securities 3.98 14 8.13%
4 Citi 3.51 14 7.16%
5 Commerzbank Group 2.65 10 5.42%

Bookrunners of all EMEA ECM Issuance

Rank Lead Manager Amount $bn No of issues Share %
  • Last updated
  • Today
1 Credit Suisse 2.84 5 12.96%
2 JPMorgan 1.90 14 8.65%
3 Barclays 1.75 12 7.96%
4 Morgan Stanley 1.69 11 7.69%
5 Citi 1.63 13 7.46%