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Commentary & Deal Flow

PRICED: Cassa Depositi e Prestiti €750m 5yr Sr Unsec; BTPS+18bp

IGC European Market: Deal Flow - GeneralIGC European Market: Deal Flow - SSA


Issuer

Term

Coupon

Maturity

Size

Ranking

Type

Price

Yield

Spread

IPT-PXD

ISIN

Cassa Depositi e Prestiti S.p.A.

5yr

3.25%

03-Jun-31

€750m

Sr Unsec

Fixed

99.691

3.318%

BTPS+18

-7

IT0005713042


Reoffer: 5yr: BTPS+18bp / 99.691 / 3.318%
Benchmark: 5yr: BTPS 3.15 01-Jun-31 @ 100.16 / B+18bp

Final Books in excess of €3.1bn (incl. €150m JLM interest). Peak book in excess of €3.6bn (incl. €150m JLM interest)

Launched: 5yr: €750m @ BTPS+18bp - Books in excess of €3.6bn (incl. €150m JLM interest)
IPTs: 5yr: BTPS+25a

  • Issuer: Cassa Depositi e Prestiti S.p.A. (Ticker: CDEP, Country: IT)
  • Issuer LEI: 81560029E2CE4D14F425
  • Issuer Ratings: Baa2 Stable by Moody’s / BBB+ Positive by S&P / BBB+ Stable by Fitch / BBB+ Positive by Scope
  • Expected Issue Ratings: BBB+ by S&P / BBB+ by Fitch / BBB+ by Scope
  • Status of the Notes: Senior Unsecured
  • Format: Reg S Bearer, Dematerialised
  • Issue Size: €750m
  • Reoffer: 3.318% / 99.691
  • Spread: BTPS 3.15 01-Jun-31 (@ 100.16 / 3.138%) +18bps
  • Pricing Date: 27-May-26
  • Settlement Date: 03-Jun-26 (T+5)
  • Maturity Date: 03-Jun-31
  • Coupon: 3.25% Fixed, Annual, Actual / Actual (ICMA)
  • Use of Proceeds: General Funding Purposes
  • Listing: Borsa Italiana S.p.A. (M.O.T.) (Regulated Market)
  • Clearing: Euronext Securities Milan (Monte Titoli)
  • Denominations: €100k x €100k
  • Governing Law: Italian Law
  • Documentation: The Issuer’s €15bn Debt Issuance Programme Base Prospectus dated 13-May-26
  • ISIN: IT0005713042
  • Bookrunners: Banca Akros, BNP Paribas, Deutsche Bank, Goldman Sachs International (B&D), IMI – Intesa Sanpaolo, Santander, UniCredit
  • Target Market: EU MiFID II or UK MiFIR Eligible counterparties and professional clients only. No key information document required by Regulation (EU) No 1286/2014 (PRIIPs Regulation) or disclosure document required by the FCA Product Disclosure Sourcebook has been prepared as not available to retail in the EEA or UK
  • Advertisement: This communication is an advertisement for the purposes of Regulation (EU) 2017/1129 and underlying legislation. The Debt Issuance Programme Base Prospectus and any supplements relating to it are available on https://www.cdp.it/sitointernet/en/dept_issuance_programme.page and the Final Terms, when published, will be available on https://www.cdp.it/sitointernet/en/debt_issuance_programme.page
  • Fees: A fee will be paid by the Issuer to the Bookrunners in association with this transaction
  • Timing: Priced, TOE 15.24 UKT / 16.24 CET, FTT Immediately