by Jp Albin
May 06, 2026 10:27 AM ET
Issuer | Term | Maturity | Size | Ranking | Type | IPT | Spread Set | ISIN |
|---|---|---|---|---|---|---|---|---|
Linde | 2yr | 13-May-28 | €600m | Sr Unsec | Floating | 3mE+60a | 3mE+35 | XS3370292644 |
Linde | 4yr | 13-May-30 | €500m | Sr Unsec | Fixed | MS+80a | MS+45 | XS3370296801 |
Linde | 10yr | 13-May-36 | €500m | Sr Unsec | Fixed | MS+110/115 | MS+80 | XS3370298682 |
Tranche 1 (2yr FRN): Final Books €1.75bn+. Peak book €1.85bn+ (pre-reconciliation)
Tranche 2 (4yr): Final Books €1.5bn+. Peak book €2.1bn+ (pre-reconciliation)
Tranche 3 (10yr): Final Books €1.25bn+. Peak book €1.7bn+ (pre-reconciliation)
Launched:
2yr: €600m @ 3mE+35bp - Books €1.85bn+ (pre-reconciliation)
4yr: €500m @ MS+45bp - Books €2.1bn+ (pre-reconciliation)
10yr: €500m @ MS+80bp - Books €1.7bn+ (pre-reconciliation)
IPTs: 2yr FRN: 3mE+60a 4yr: MS+80a 10yr: MS+110/115