No results found for "".

Deal Details

C/PIndustryStatusTicker(s)Issuer(s)Size(m)TranchesRegionDate
HYC
COND
PRCD
PTECLN
Playtech PLC€350
1EMEA
Feb 28, 2019
currency
EUR
size (m)
350.000
maturity
Mar 7, 2026
type
Fixed
tenor
7.000
call
-
registration
Reg S Only
benchmark
YLD
ranking
Sr. Secured
moody's
Ba2
s&p
BB
fitch
-
re-open/tap
No
ipt
-
ipt-pxd
-
guidance
4.25-4.375%
spread
-
coupon
4.25%
spread set
-
price
100.00000
yield
4.25%
book size (m)
-
peak book (m)
-
x-covered
-
book attrition
-
nic
-
left lead
active leads
-
joint leads
passive leads
-
co-managers
-
coordinating managers
-
book size (m)
-
peak book (m)
-
x-covered
-
book attrition
-
nic
-
left lead
active leads
-
joint leads
passive leads
-
co-managers
-
coordinating managers
-
Tranche Comments
7 yr: Registration: Reg S Only; Comments: EUR350m 7NC3 snr sec RegS. Actives NatWest/Santan/UBS(B&D)/Uni. Talk 4.5%/4.75%, revised 4.25%/4.375%. Calls: MWC from 7/3/2019 at DBR 3/26 +50, then 7/3/2022 at 102.125%, 7/3/2023 at 101.063%, 7/3/2024 at 100%;
Guarantor(s)
Playtech Software, TradeTech Holding, Technology Trading, Pluto Italia, Playtech Cyprus

Commentary

Explore all other Commentary & Deal Flow

Deal Flow

Explore all other Commentary & Deal Flow