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by Chris Reich
Nov 05, 2025 3:24 PM ET
AviLease Capital Ltd (AVILE) exp Baa2/BBB by Moody's/Fitch US$850m 144A/Reg S (Cat 2)/3c7 5y FXD sr notes due 11/12/30. MWC then 1mo par call (10/12/30). CoC. Clean-up Call (75% of outstanding). Citi (B&D)/MUFG as JGCs/Active JBRs and JLMs. ADCB/BNP/FADB/HSBC/Miz as active JBRs and JLMs. Al Ahli Bank of Kuwait/BSF Capital/CACIB/Emirates NBD/GIB Capital/JPM/MS/Natixis/Riyad Capital/SNB Capital as passive JBRs and JLMs. Guarantors: Aircraft Leasing Company, Air Structured Holding Company, AviLease Finance 1 Ireland Designated Activity Company. Guarantor Ratings: Baa2/BBB (s/s) by Moody's/Fitch. Coupon: FXD, S/A, 30/360. Interest Pay Dates: 12 May and 12 November in each year, commencing on 12 May 2026. Denoms: $200,000 x $1,000. Listing: The London Stock Exchange’s International Securities Market - The Offering Circular is, and the Pricing Supplement for the Notes will be, published on the website of the London Stock Exchange at http://www.londonstockexchange.com/exchange/news/market-news/market-news-home.html. Governing Law: English Law. Stabilisation: FCA / ICMA stabilisation applies. Documentation: Drawdown under the Global Medium Term Note Programme. Clearing: rule 144A (DTC), Regulation S (Euroclear and Clearstream, Luxembourg). UOP: gcp. Pricing 11/5. Settle 11/12. 144A ISIN: US05370HAA14.
IPTs: T+140 area.
UPDATE: spread set at T+110.
LAUNCHED: $850m 5y at T+110.
PRICED: $850m 4.75% 11/12/30 99.456 4.874% T+110. MW+20.