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by Jp Albin
May 05, 2026 10:27 AM ET
Issuer | Term | Call | Maturity | Size | Ranking | Type | IPT | Spread Set | ISIN |
|---|---|---|---|---|---|---|---|---|---|
Barclays PLC | 4NC3 | 3y | 12-May-30 | €500m | Sr Unsec | Fixed Rate Reset | MS+100a | MS+70 | XS3369011542 |
Barclays PLC | 11.5NC10.5 | 10.5y | 12-Nov-37 | €1.25bn | Sr Unsec | Fixed Rate Reset | MS+160a | MS+130 | XS3369011625 |
Tranche 1 (4NC3): Final Books above €4.2bn. Peak book > €3.8bn
Tranche 2 (11.5NC10.5): Final Books above €5.9bn. Peak book > €5.3bn
Launched:
4NC3: €500m @ MS+70bp - Books > €3.8bn
11.5NC10.5: €1.25bn @ MS+130bp - Books > €5.3bn
Book Update: Combined books >€6bn (4NC3: >€2.5bn | 11.5NC10.5: >€3.5bn)
IPTs: 4NC3: MS+100a 11.5NC10.5: MS+160a