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Deal Details

C/PIndustryStatusTicker(s)Issuer(s)Size(m)TranchesRegionDate
IGC
FNCL
PRCD
MS
Morgan Stanley-
2USOA
Jun 8, 2026
currency
EUR
size (m)
1,500.000
maturity
Jun 11, 2030
type
Fixed to Floating
tenor
4.000
call
3.00
registration
SEC Registered
benchmark
Swaps
ranking
Sr. Unsecured
moody's
A1
s&p
A-
fitch
A+
size description
-
re-open/tap
No
ipt
MS+90 area
ipt-pxd
-28
guidance
MS+62#
spread
62
coupon
3.485%
spread set
-
price
100.00000
yield
3.485%
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
-
currency
GBP
size (m)
1,000.000
maturity
Sep 10, 2032
type
Fixed to Floating
tenor
6.250
call
5.25
registration
SEC Registered
benchmark
G
ranking
Sr. Unsecured
moody's
A1
s&p
A-
fitch
A+
size description
-
re-open/tap
No
ipt
G+115 area
ipt-pxd
-17
guidance
G+98#
spread
98
coupon
5.438%
spread set
-
price
100.00000
yield
5.438%
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: 2027-06-11; Redemption: 2029-06-11; Registration: SEC Registered; Comments: OBL 2.1 12-Apr-29 @ B+79.7bps. MWC: B+15. LEI: IGJSJL3JD5P30I6NJZ34; First Pay: 2026-09-10; Redemption: 2031-09-10; Registration: SEC Registered; Comments: UKT 0 ¾ 07/31/31. MWC: B+15. LEI: IGJSJL3JD5P30I6NJZ34;
Deal Comments
UPDATE 6NC5: Spread Set at G+98#; 4NC3: Spread Set at MS+62#
Use of Proceeds
General Corporate Purposes