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Deal Details

C/PIndustryStatusTicker(s)Issuer(s)Size(m)TranchesRegionDate
HYC
COND
PRCD
LHMCFI
Cirsa Finance International SARL€500
1EMEA
Jul 8, 2026
currency
EUR
size (m)
500.000
maturity
Jul 20, 2032
type
Fixed
tenor
6.000
call
2.00
registration
144A/Reg S
benchmark
DBR
ranking
Sr. Secured
moody's
Ba3
s&p
BB-
fitch
BB+
size description
-
re-open/tap
No
ipt
High 4s
ipt-pxd
-12.5
guidance
4.50%-4.75%
spread
180
coupon
4.625%
spread set
-
price
100.00000
yield
4.625%
book size (m)
-
peak book (m)
-
x-covered
-
book attrition
-
nic
-
billing & delivering
active leads
joint leads
passive leads
-
co-managers
-
coordinating managers
-
book size (m)
-
peak book (m)
-
x-covered
-
book attrition
-
nic
-
billing & delivering
active leads
joint leads
passive leads
-
co-managers
-
coordinating managers
-
Tranche Comments
First Pay: 2026-10-31; Redemption: 2028-07-20; Registration: 144A/Reg S; Comments: MWC: B+50. RegS CUSIP: 343617437;
Use of Proceeds
Refinance in full the existing 7.875% SSNs due Jul-28 (including payment of redemption premium thereon), payment of fees and expenses in connection with the transaction and cash overfund for general corporate purposes