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Commentary & Deal Flow

ALLOCATIONS OUT: Volkswagen Bank GmbH €2.75bn 2.5yr, 4.5yr & 7.5yr Green SNP; MS+73, MS+103 & MS+133

IGC European Market: Deal Flow - General

Issuer

Term

Maturity

Size

Ranking

Type

IPT

Guidance

Spread Set

Volkswagen Bank GmbH

2.5yr

26-Nov-28

€1bn

SNP

Fixed

MS+110a

MS+80

MS+73

Volkswagen Bank GmbH

4.5yr

26-Nov-30

€1bn

SNP

Fixed

MS+140a

MS+110

MS+103

Volkswagen Bank GmbH

7.5yr

26-Nov-33

€750m

SNP

Fixed

MS+170a

MS+140

MS+133


Tranche 1 (2.5yr): Final Book >€3.9bn. Peak book >€4.2bn
Tranche 2 (4.5yr): Final Book >€3.9bn. Peak book >€4.5bn
Tranche 3 (7.5yr): Final Book >€3.4bn. Peak book >€3.8bn

Launched:
2.5yr: €1bn @ MS+73bp - Book >€4.2bn
4.5yr: €1bn @ MS+103bp - Book >€4.5bn
7.5yr: €750m @ MS+133bp - Book >€3.8bn
Guidance: 2.5yr: MS+80bp (Book >€3.6bn) 4.5yr: MS+110bp (Book >€3.8bn) 7.5yr: MS+140bp (Book >€3.3bn)
Book Update: Combined order books in excess of €6bn+
IPTs: 2.5yr: MS+110a 4.5yr: MS+140a 7.5yr: MS+170a


  • Issuer: Volkswagen Bank GmbH (Ticker: VW, Country: DE)
  • Issuer LEI: 529900GJD3OQLRZCKW37
  • Issuer Ratings: A1 (negative) by Moody's / BBB+ (stable) by S&P / A- (negative) by Fitch
  • Expected Issue Ratings: Baa1 by Moody's / BBB by S&P / BBB+ by Fitch
  • Status of the Notes: Green, Senior Non-Preferred
  • Format of Notes: Reg S, Bearer, New Global Notes
  • Eligible Liabilities Format: Applicable
  • Pricing Date: 19-May-26
  • Settlement: 26-May-26 (T+5)
  • Size:
    • 2.5yr: €1bn
    • 4.5yr: €1bn
    • 7.5yr: €750m
  • Maturity:
    • 2.5yr: 26-Nov-28
    • 4.5yr: 26-Nov-30
    • 7.5yr: 26-Nov-33
  • Coupon:
    • 2.5yr: Fixed, Annual, Act/Act (ICMA), Short First
    • 4.5yr: Fixed, Annual, Act/Act (ICMA), Short First
    • 7.5yr: Fixed, Annual, Act/Act (ICMA), Short First
  • ISIN:
    • 2.5yr: XS3386702149
    • 4.5yr: XS3386742285
    • 7.5yr: XS3386742798
  • Reference Benchmark:
    • 2.5yr: DBR 0.0 15-Nov-28 - 104%
    • 4.5yr: DBR 2.4 15-Nov-30 - 98%
    • 7.5yr: DBR 2.6 15-Aug-33 - 99%
  • Hedge Deadline: 16.45 UKT / 17.45 CET
  • Denoms: €100k + €100k
  • Documentation: As per the EUR 50,000,000,000 Debt Issuance Programme dated 3-Jul-25, supplemented on 1-Dec-25, 23-Mar-26, 14-Apr-26, and 4-May-26
  • Use of Proceeds: Net proceeds are intended to be used to finance and / or refinance the eligible Green Projects relating to vehicles with zero-tailpipe emissions as defined by VW FS AG Group's Green Finance Framework (GFF) dated November 2025
  • GFF and SPO: The Green Finance Framework is available on https://www.vwfs.com/content/dam/bluelabel/valid/www-vwfs-com/investor-relations/vwfs-ag/green-finance-framework/20251121_VWFSAG_GFF.pdf and the SPO by ISS ESG is available on: https://www.vwfs.com/content/dam/bluelabel/valid/www-vwfs-com/investor-relations/vwfs-ag/green-finance-framework/spo-vwfs-211125.pdf
  • Law: German law
  • Listing: Regulated Market of the Luxembourg Stock Exchange
  • Target Market: Manufacturer target market (MiFID II (Directive 2014/65/EU (as amended) product governance and UK MiFIR product governance) is eligible counterparties and professional clients (all distribution channels). No EU PRIIPs key information document (KID) and no UK disclosure document required by DISC have been prepared as the notes are not available to retail in EEA or UK
  • Selling Restrictions: As per Debt Issuance Programme. No communications with or into the US. Sales into Canada: Sales into Ontario only, subject to compliance with applicable law
  • Bookrunners: BBVA, BNP Paribas, Commerzbank, Citigroup, SMBC (B&D)
  • Marketing: An investor presentation (May 2026) is available on the website of the issuer: https://www.vwfs.com/en/investor-relations/presentations.html
  • Advertisement: The Base Prospectus dated 3-Jul-25 and any supplements (last dated on 4-May-26) and the Final Terms, when published, will be available at https://www.luxse.com/issuer/VWFS/113537