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by Stephen Carter
Feb 09, 2026 10:06 AM ET
ZF Europe Finance BV (ZFFNGR) EUR1bn (from EUR750m and benchmark size) Reg S bearer fixed-rate sr unsec notes due 02/17/32 (6y). NCL (MWC, 3mo par call, 80% clean-up call). Expect Ba2/BB- (negative/stable) gtd by ZF Friedrichshafen AG. Via BNP (B&D)/Commerz/LBBW/Unicredit jt glocos and active books/DZ/ING/SEB/SMBC passive books. Off the EMTN Programme. List lux. German law. CoC at 100. Pays annual (Act/Act). Denoms: 100kx100k. Settles 02/17 (T+6). ISIN: XS3296386264. IPT: 6.00% area. Guidance: 5.625% area (+/-12.5bp) WPIR.
Final terms: EUR1bn at 5.50%.
Books go subject at 1:30pm UKT 02/09. Pricing 02/09 UK afternoon. Books in excess of EUR3.3bn (pre-rec, at tight-end of guuidance), from EUR3bn (pre-rec). UOP: GCP, including refinancing of existing debt and financing the tender offer of ZF Finance GMBH's EUR500m 2.00% due 05/06/27 (99.40 tender price) and EUR500m 2.75% notes due 05/25/27 (100.10 tender price) (dealer managers: Santander/Citi/ING/JPM). Biz: a global technology company supplying systems for passenger cars, commercial vehicles and industrial technology. HQ: Friedrichshafen, Germany.
Dealroadshow link: https://dealroadshow.com/e/ZFGROUP2026. Entry code: ZFGROUP2026.
ZF Friedrichshafen EUR benchmark 6-year - Comparables €€€
* Indicative pre announcement bid side levels (i-spread) *
Bond | ESG | Rating (M/S&P/F) | Issue Dt. | Tenor | Amt € | i-spread | Yield |
ZFFNGR 4.750% Jan-29 | Green | Ba2 / BB- / - | 31-Jan-24 | 3.0 yr | 800mm | i+200bp | 4.297% |
ZFFNGR 6.125% Mar-29 | Green | Ba2 / BB- / - | 13-Sep-23 | 3.1 yr | 650mm | i+210bp | 4.409% |
ZFFNGR 3.000% Oct-29 | - | Ba2 / BB- / - | 23-Oct-19 | 3.7 yr | 700mm | i+203bp | 4.421% |
ZFFNGR 7.000% Jun-30 | - | Ba2 / BB- / - | 12-Jun-25 | 4.3 yr | 1250mm | i+263bp | 5.057% |