Log In
No results found for "".

Commentary & Deal Flow

PRICED: European Investment Bank €1.5bn 5yr Sr Unsec FRN; ESTR+26bp

IGC European Market: Deal Flow - SSA

Issuer

Term

Coupon

Maturity

Size

Ranking

Type

Price

Guidance

Spread

GDNC-PXD

European Investment Bank

5yr

ESTR+26bp

26-May-31

€1.5bn

Sr Unsec

Floating

100

ESTR+27a

ESTR+26

-1


Reoffer: 5yr: ESTR+26bp / 100

Final Books: Over €5.1bn (inc €500m JLM interest)

Launched: 5yr: €1.5bn @ ESTR+26bp - IOIs in excess of €4bn (inc €500m JLM interest)
Guidance: 5yr: ESTR+27a


  • Issuer: European Investment Bank (EIB)
  • Exp. Issue Rating: Aaa/AAA/AAA/AAA (Moody's/S&P/Fitch/Scope, all stable)
  • Status: Senior Unsecured, 0% RW
  • Format: EMTN - Reg S, Category 1, Registered Form
  • Size: €1.5bn (no grow)
  • Settlement: 26-May-26 (T+4)
  • Maturity: 26-May-31
  • Coupon: Compounded ESTR + 26bps, Floating, Quarterly, ACT/360, first coupon to be paid on 26-Aug-26
  • Convention: ESTR Index where ESTR Index Start and ESTR Index End will be 5 target settlement days prior to the Interest Period
  • Spread: ESTR+26bps
  • Reoffer: 100
  • Leads: Barc/DB/HSBC/RBC (B&D)
  • Listing/Denom: Luxembourg Stock Exchange’s Regulated Market / €1k+€1k
  • Governing Law: Luxembourg Law
  • ISIN: EU000A4ETDK9 / Common Code 334450180
  • Target Market: The manufacturer target markets (EU MIFID II and UK MiFIR product governance) as assessed by the lead managers are Retail / Professional / Eligible Counterparties (all distribution channels)
  • Timing: TOE 12.10uk / 13.10cet / FTT Immediately