No results found for "".

Commentary & Deal Flow

ALLOCATIONS OUT: PRS Finance plc £188.8m Dec-30 Tap Snr Sec; SONIA+50

IGC European Market: Deal Flow - General

Issuer

Term

Maturity

Size

Ranking

Type

Guidance

Spread Set

PRS Finance plc

Dec-30 Tap

10-Dec-30

£188.8m

Snr Sec

Floating

SONIA+55a

SONIA+50


Final Books: In excess of £650m.

Launched: Dec-30 Tap: £188.8m @ SONIA+50bp - Books in excess of £570m
Guidance: Dec-30 Tap: SONIA+55a


  • Issuer: PRS Finance plc
  • Issuer LEI: 2138002JNX4ZKQI8OU17
  • Guarantor: The Secretary of State for Housing, Communities and Local Government
  • Issue Rating: Aa3 (Moody’s) (A revision in the UK Sovereign’s rating or its outlook by Moody's could occur as part of its next review scheduled for 22-May-26. As the rating assigned to the Issuer by Moody's is aligned with the rating of UK Sovereign, such a revision would automatically result in a revision of the Issuer's rating)
  • Size: £188,800,000 (taking the total issuance size to £438,800,000, of which £51,113,000 is retained)
  • Accrued Interest on £188.8m: 79 days accrued interest of £1,742,304.42 in respect of the period from and including 10-Mar-26 up to but excluding the Settlement Date
  • Pricing Date (T): 19-May-26
  • Settlement Date: 28-May-26 (T+6)
  • Maturity Date: 10-Dec-30, hard bullet
  • Coupon: Floating, Compounded Daily SONIA, 17 London Business Days Lag, Quarterly, Act/365 (Fixed)
  • Quoted Margin: SONIA + 52 bps
  • Spread: SONIA+50bps (YTM)
  • Early Optional Redemption: From (and including) 10-Dec-25 to (and excluding) 10-Dec-26: 102%; From (and including) 10-Dec-26 to (and excluding) 10-Dec-27: 101%; Thereafter to maturity: Par
  • Listing: London Stock Exchange (Main Market)
  • Governing Law: English Law
  • Joint Lead Managers: Barclays, NatWest (B&D), RBC Capital Markets
  • Documentation: Issuer’s £3,500,000,000 Guaranteed Secured Bond Programme dated 17-Jun-25
  • Form of Bonds: Guaranteed, Senior, Secured, Bearer, NGN, Reg S Temporary Global Bond exchangeable for a Permanent Global Bond
  • Denomination: £100k + £1k
  • Permanent ISIN: XS3248351564
  • Temporary ISIN: XS3386694619 (fungible after 40 days)
  • Timing: Books close at 11am LDN
  • Programme Memorandum: This communication is an advertisement. The Programme Memorandum dated 17-Jun-25 is available on http://www.rns-pdf.londonstockexchange.com/rns/4228N_1-2025-6-18.pdf