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Commentary & Deal Flow

GUIDANCE: LYB International Finance US$ Bnchmrk; 5y T+147#, 10y T+185#

IGC European Market: Deal Flow - GeneralIGC US Market: Deal Flow - General

LYB International Finance III LLC (LYB) exp Baa2/BBB/BBB US$ benchmark SEC registered 2-part sr notes (5y FXD due 1/15/31 and 10y FXD due 1/15/36). MWC then 1mo par call on 5y (12/15/30) and 3mos on 10y (10/15/35). 101 CoC. Citi/DB (B&D on 5y)/JPM (B&D on 10y) joint active books. Guarantor: LyondellBasell Industries N.V. Guarantor Ratings: Baa2/BBB/BBB (n/n/s). Denoms: 2,000 x 1,000. Sales into Canada: Yes, via exemption. UOP: General corporate purposes, which may include the repayment of the 0.875% 2026 notes, the 3.500% 2027 notes and the 8.100% 2027 notes. Marketing: https://dealroadshow.com | Password: LYB2025. Pricing 11/10. Settle 11/13 (T+2). Cusip: 5y: 50249AAQ6, 10y: 50249AAR4. ISIN: 5y: US50249AAQ67, 10y: US50249AAR41.

IPTs: 5y T+180 area, 10y T+212.5 area.

GUIDANCE: 5y T+147#, 10y T+185#.