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Commentary & Deal Flow

PRICED: Robert Bosch €1.5bn 3yr & 10yr Sr Unsec; MS+48bp & MS+105bp

IGC European Market: Deal Flow - General

Issuer

Term

Coupon

Maturity

Size

Ranking

Type

Price

Yield

Spread

IPT-PXD

Robert Bosch Finance LLC

3yr

3.25%

21-May-29

€850m

Sr Unsec

Fixed

99.66

3.371%

MS+48

-32.0

Robert Bosch GmbH

10yr

4.00%

21-May-36

€650m

Sr Unsec

Fixed

98.617

4.172%

MS+105

-35.0


Reoffer: 3yr: MS+48bp / 99.66 / 3.371% 10yr: MS+105bp / 98.617 / 4.172%
Benchmark: 3yr: OBL 2.1 12-Apr-29 + 66bps (HR: 103%) 10yr: DBR 2.9 15-Feb-36 + 106.7bps (HR: 97%)

3yr: Final Books €2bn+. Peak book €2.7bn+ (pre-rec)
10yr: Final Books €1.7bn+. Peak book €2.4bn+ (pre-rec)

Launched:
3yr: €850m @ MS+48bp - Books €2.7bn+ (pre-rec)
10yr: €650m @ MS+105bp - Books €2.4bn+ (pre-rec)
Guidance: 3yr: MS+55bp area - Books €2.6bn+ (pre-rec) 10yr: MS+110bp area - Books €2.6bn+ (pre-rec)
IPTs: 3yr: MS+80bp area 10yr: MS+140bp area


  • Issuer:
    • 3yr: Robert Bosch Finance LLC (Ticker: RBOSGR, Country: US)
    • 10yr: Robert Bosch GmbH (Ticker: RBOSGR, Country: DE)
  • Issuer LEI:
    • 3yr: 549300VQST07EL5DYC58
    • 10yr: 529900F0LT5OP4SV6122
  • Guarantor: Robert Bosch GmbH
  • Guarantor LEI: 529900F0LT5OP4SV6122
  • Guarantor Rating: S&P: A (stable); Fitch: A (negative)
  • Exp. Issue Rating: S&P: A / Fitch: A
  • Format: Senior Unsecured, Reg S, Bearer Notes, Permanent Global Note, intended to be ECB eligible
  • Settlement: 21-May-26 (T+7)
  • Tenor:
    • 3yr: 3-years
    • 10yr: 10-years
  • Maturity:
    • 3yr: 21-May-29
    • 10yr: 21-May-36
  • Size:
    • 3yr: €850m
    • 10yr: €650m
  • Reoffer:
    • 3yr: MS+48bps / 99.660 / 3.371%
    • 10yr: MS+105bps / 98.617 / 4.172%
  • Benchmark:
    • 3yr: OBL 2.1 12-Apr-29 + 66bps (HR: 103%)
    • 10yr: DBR 2.9 15-Feb-36 + 106.7bps (HR: 97%)
  • MWC:
    • 3yr: B+10bps
    • 10yr: B+20bps
  • Par Call:
    • 3yr: 1m
    • 10yr: 3m
  • Coupon:
    • 3yr: 3.25% Fixed, Annual, Act/Act (ICMA), following, unadjusted
    • 10yr: 4% Fixed, Annual, Act/Act (ICMA), following, unadjusted
  • ISIN:
    • 3yr: DE000A4EUR92
    • 10yr: DE000A4EUSA2
  • TOE / FTT:
    • 3yr: 15:29 UKT / 15:50 UKT
    • 10yr: 15:30 UKT / 15:50 UKT
  • Denominations: €100k + €100k
  • Docs: Robert Bosch’s Debt Issuance Programme dated 6-May-26 / Tax Call / Clean-up Call (75%) / Make-Whole Call / Negative Pledge / Cross Default
  • Listing: Luxembourg Stock Exchange (Euro MTF)
  • Law: German law
  • Selling restrictions: As set out in the Base Prospectus of the Programme as updated on 6-May-26 (the “Prospectus”); US: RegS (Cat 2)
  • Use of Proceeds: General corporate purposes including the refinancing of maturing debt
  • Joint Bookrunners: Barclays, Crédit Agricole CIB, HSBC, ING, Societe Generale (B&D)
  • Target Market: Eligible counterparties and professional clients only (all distribution channels). No EU PRIIPs key information document (KID) or UK PRIIPs KID/CCI product summary has been prepared as not available to retail in the EEA or the United Kingdom, respectively
  • Advertisement: This communication is an advertisement for the purposes of Regulation (EU) 2017/1129 and underlying legislation. It is not a prospectus. The Prospectus is and any supplements and the Final Terms will, when published, be available at: https://www.luxse.com/issuer/RobertBosch/48151