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Commentary & Deal Flow

PRICED: Autonomous Community of Madrid €500m 5yr EuGB Sr Unsec; SPGB+5bp

IGC European Market: Deal Flow - SSA

Issuer

Term

Coupon

Maturity

Size

Ranking

Type

Price

Yield

Guidance

Spread

GDNC-PXD

Autonomous Community of Madrid

5yr

2.976%

30-Jul-31

€500m

Sr Unsec

Fixed

99.993

2.976%

SPGB+9a

SPGB+5

-4


Reoffer: 5yr: SPGB+5bp / 99.993 / 2.976%
Benchmark: 5yr: SPGB 3.1 30-Jul-31 @ 100.816 / 2.926%

Final Books: in excess of €2.8bn (incl. €50m JLM interest). Peak Books: in excess of €3bn.

Launched: 5yr: €500m @ SPGB+5bp - Orderbooks in excess of €3bn (incl. €50m JLM interest)
Rev Guidance: 5yr: SPGB+7a - Orderbooks in excess of €2.6bn (including €50m JLM)
Guidance: 5yr: SPGB+9a


  • Issuer: Autonomous Community of Madrid
  • LEI: 959800KASH3LCM57Q344
  • Issuer Ratings: A/A3/A/AH/A (st/st/st/st/pos) (S&P/Moody's/Fitch/DBRS/Scope)
  • Expected Issue Ratings: A/A3/A/AH by S&P/Moody's/Fitch/DBRS
  • Format: Reg S Cat 1, Dematerialised Book-entry form (No sales into Canada)
  • Ranking: Senior, Unsecured
  • Risk Weighting: 0%
  • Size: €500m
  • Maturity: 30-Jul-31
  • Settlement: 08-Jun-26 (T+7)
  • Coupon: 2.976% Fixed, Annual, Act/Act, long first coupon
  • Reoffer: 99.993%, 2.976% Yield (SPGB + 5 bps)
  • Benchmark: SPGB 3.1 30-Jul-31 @ 2.926, 100.816 price
  • Listing: AIAF
  • Governing Law: Spanish
  • Min Denoms: €1k + €1k
  • UoP: European Green Bond Factsheet CdM: The European Green Bond Factsheet dated May 2025: https://www.comunidad.madrid/docs/assets/2025/05/22/comunidad_de_madrid_-_eu_gbs_factsheet_-_final_clean.pdf
  • Docs: Exempt from prospectus requirements in Spain. Spanish public debt tax regime. No events of default. No tax gross up.
  • Target Market: The target market for the Bonds is professionals and eligible counterparties (all channels for distribution), each as defined in MIFID II
  • Bookrunners: BBVA (B&D), CaixaBank, Crédit Agricole CIB, HSBC, ING (Sole Green Bond Structurer) and Santander
  • Fees: The Banks will be paid a fee by the Issuer in respect of the placement of the securities. Details of the fee may be made available to investors on request from your usual sales contact
  • ISIN: ES00001010T9
  • Timing: Priced TOE 12.52 UKT / 13.52 CET, FTT immediately