by Anna Tkachenko
May 19, 2026 10:54 AM ET
Issuer | Term | Call | Maturity | Size | Ranking | Type | IPT | Yield Set | ISIN |
|---|---|---|---|---|---|---|---|---|---|
VEON Midco B.V. | 5NC2 | 2y | 01-Jun-31 | US$700m | Sr Unsec | Fixed | 7.375-7.500% | 6.95% | XS3372847957 / US92337DAA00 |
VEON Midco B.V. | 7NC3 | 3y | 01-Jun-33 | US$700m | Sr Unsec | Fixed | 7.875%a | 7.45% | XS3372848419 / US92337DAB82 |
Launched:
5NC2: US$700m @ 6.95% - Final book > US$1.4bn (incl US$80m JLM)
7NC3: US$700m @ 7.45% - Final book > US$1.6bn (incl US$80m JLM)
Yield set at: 5NC2: 6.95% 7NC3: 7.45% - Combined books > US$3.9bn (incl. US$160m JLM)
Book Update: Combined books > US$3bn (incl. US$134m JLM), no skew
IPTs: 5NC2: 7.375-7.500% 7NC3: 7.875% area