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Commentary & Deal Flow

UPDATE: Brazil € bmk 4yr, 7yr, 10yr; Spread set at MS+145bp, MS+210bp, MS+255bp

IGC European Market: Deal Flow - GeneralEM LATM: Deal Flow - General

Issuer

Term

Maturity

Size

Ranking

Type

IPT

Spread Set

LEADS

ISIN

Federative Republic of Brazil

4yr

23-Apr-30

bmk

Sr Unsec

Fixed

MS+180a

MS+145

BBVA, BNP, BofA, UBS

XS3344411486

Federative Republic of Brazil

7yr

23-Apr-33

bmk

Sr Unsec

Fixed

MS+245a

MS+210

BBVA, BNP, BofA, UBS

XS3344411643

Federative Republic of Brazil

10yr

23-Apr-36

bmk

Sr Unsec

Fixed

MS+290a

MS+255

BBVA, BNP, BofA, UBS

XS3344411726


Spread set at: 4yr: MS+145bp 7yr: MS+210bp 10yr: MS+255bp - Books subject 15:15 UKT / 16:15 CET
IPTs: 4yr: MS+180a 7yr: MS+245a 10yr: MS+290a


  • Issuer: Federative Republic of Brazil (Ticker: BRAZIL)
  • Issuer Ratings: Ba1 (Stable) / BB (Stable) / BB (Stable) (Moody's/S&P/Fitch)
  • Expected Issue Ratings: Ba1 / BB / BB (Moody's/S&P/Fitch)
  • Ranking: Senior Unsecured
  • Format: SEC-Registered
  • Size: € Benchmark (Total deal size: expect €4bn)
  • Tenors: New 4-Year / New 7-Year / New 10-Year
  • Maturity Dates:
    • 4yr: 23-Apr-30
    • 7yr: 23-Apr-33
    • 10yr: 23-Apr-36
  • Spread set at:
    • 4yr: MS+145bps
    • 7yr: MS+210bps
    • 10yr: MS+255bps
  • Joint Bookrunners: BBVA, BNP Paribas (B&D), BofA Securities, UBS Investment Bank
  • ISINs:
    • 4yr: XS3344411486
    • 7yr: XS3344411643
    • 10yr: XS3344411726
  • Optional Redemption: Make-Whole Call
  • Use of Proceeds: Repayment of outstanding federal public debt of Brazil
  • Marketing: Base Prospectus & Preliminary Prospectus Supplement
  • Settlement: 23-Apr-26 (T+6)
  • Denominations: €100,000 x €1,000
  • Expected Listing: Application will be made to the London Stock Exchange plc (the “London Stock Exchange”) for the global bonds to be admitted to trading on the London Stock Exchange’s International Securities Market (“ISM”)
  • Stabilization: FCA/ICMA stabilization applies
  • MiFID: Manufacturer Target Market (MiFID II and UK MiFIR Product Governance) is eligible counterparties and professional clients only (all distribution channels). No PRIIPs KID or UK PRIIPs KID has been prepared as the notes are not available to retail investors in the European Economic Area or the UK.
  • Governing Law: New York
  • Timing: Today’s business. Books subject 15:15 UKT / 16:15 CET. Expected to price after European Market CoB.
  • Hedges: Will not be taking hedges