GUIDANCE: NAVER Corporation US$ bmk 5yr Green Sr Unsec; T+60#
IGC European Market: Deal Flow - GeneralIGC APAC Market: Deal Flow - General
Issuer
Term
Maturity
Size
Ranking
Type
IPT
Guidance
NAVER Corporation
5yr
21-Apr-31
bmk
Sr Unsec
Fixed
T+100a
T+60#
Guidance: 5yr: T+60bp
IPTs: 5yr: T+100a
Issuer: NAVER Corporation
Issuer Ratings: A3/A- (Moody's/S&P)
Exp Issue Ratings: A3/A- (Moody's/S&P)
Status: Fixed Rate, Senior Unsecured
Format: Reg S Only (Category 2); Registered
Size: US$ Benchmark
Settlement Date: 21-Apr-26
Tenor: 5-year
Final Price Guidance: CT5+60 bps (the number)
Maturity Date: 21-Apr-31
Day Count / Business Day Convention: 30/360, Unadjusted / Following Business Day
Terms: $200k/1k Denoms, New York Law
Listing: SGX-ST (Singapore Exchange)
Clearing: CMU with linkage to Euroclear / Clearstream
Use of Proceeds: An amount equal to the net proceeds will be allocated toward the financing and/or refinancing, in whole or in part, of new and/or existing projects from the Eligible Green Categories in accordance with NAVER’s Sustainable Finance Framework published in April 2026
Joint Bookrunners: Crédit Agricole CIB, HSBC (B&D), Morgan Stanley and Standard Chartered Bank
Expected Timing: Global books subject. Launch and pricing today