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Commentary & Deal Flow

PRICED: OKB US$1.25bn 3yr Sr Unsec; MS+24bp

IGC European Market: Deal Flow - SSAIGC US Market: Deal Flow - SSA

Issuer

Term

Coupon

Maturity

Size

Ranking

Type

Price

Yield

IPT

Guidance

Spread

IPT-PXD

Oesterreichische Kontrollbank

3yr

4.125%

29-May-29

US$1.25bn

Sr Unsec

Fixed

99.701

4.232%

MS+27a

MS+25a

MS+24

-3


Reoffer: 3yr: MS+24bp / 99.701 / 4.232%
Benchmark: 3yr: CT3 T 3.875% 15-May-29 @ 99-05 1/4 / 4.175% / B+5.7bp / HR 101%

Final Books: Closed in excess of US$3.3bn (ex JLM)
Launched: 3yr: US$1.25bn @ MS+24bp - Books closed in excess of US$3.2bn (ex JLM)
Spread set at: 3yr: MS+24bp - Books in excess of US$3.4bn (ex JLM)
Guidance: 3yr: MS+25a - IOIs in excess of US$2.5bn (ex JLM)
IPTs: 3yr: MS+27a


  • Issuer: Oesterreichische Kontrollbank AG ("OKB")
  • Guarantee: Explicitly Guaranteed by the Republic of Austria
  • Expected Issue Ratings: Aa1/AA+ (Moody's/S&P) (Negative/Stable)
  • Format: SEC Registered Global
  • Size: US$1.25bn
  • Maturity: 29-May-29
  • Settlement: 29-May-26 (T+7)
  • Coupon: 4.125% Fixed, Semi-Annual, 30/360
  • Reoffer: SOFR Mid-Swap SA 30/360+24bp / 99.701% / 4.232%
  • Benchmark: +5.7bp vs CT3 T 3.875% 15-May-29 (99-05 1/4 / 4.175% / 101% HR)
  • Governing Law: New York
  • Listing: Luxembourg Stock Exchange's Regulated Market
  • Denominations: US$1k x US$1k
  • Documentation: Issuer's Global Issuance Facility
  • ISIN: US676167CT43
  • Target Market: Retail / Professional / Eligible Counterparties (all distribution channels each as defined in MIFID II / UK MIFIR)
  • Joint Leads: BNP (B&D, DM)/Goldman Sachs Bank Europe SE/RBC Capital Markets/TD Securities
  • Timing: Priced. TOE 15:04 UKT / 10:04 NY
  • Advertisement: Base Prospectus of the Global Issuance Facility is available at: https://www.oekb.at/en/dam/jcr:66c463ee-b936-4443-887f-ad4689c6ea8a/US%20Shelf%20Schedule%20B_Nov2026_as%20filed.pdf