Long 10-year:
- Reoffer: 99.698 to yield 3.662%
- Spread set at MS + 95bp (Guidance was MS+105bp area and revised to MS + 95-100bp (WPIR))
- Size: E1.0bln (in line with MNI estimate)
- Books closed in excess of E1.9bln (ex JLM interest)
- Maturity: 10 March 2036
- Coupon: 3.625%, Short first
- HR 100% vs 2.60% Aug-35 Bund. Spot ref 98.76 / + 91.9bp
- ISIN: XS3175946071
20-year:
- Spread set earlier at MS +140bp (guidance was MS+145bp area)
- Size: E750mln (MNI pencilled in E1bln)
- Books closed in excess of E1.6bln (ex JLM interest)
- Maturity: 10 September 2045
- Coupon: 4.25%
- HR 99% vs 2.50% July-44 Bund. Spot ref 90.23 / + 116.5bp
- ISIN: XS3175947046
For both:
- Bookrunners: Erste Group (B&D), HSBC and Societe Generale
- Settlement Date: 10 September 2025 (T+5)
- Timing: TOE: 16:24 BST /17:24 CET. FTT immediately.
From market source / MNI colour