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Commentary & Deal Flow

PRICED: United Group €305m Tap Snr Sec FRN 2033 at 100

HYC European Market: Deal Flow - General

Issuer

Term

Call

Coupon

Maturity

Size

Ranking

Type

Price

United Group BV

7yrNC0.5

0.5y

E+325

31-Jan-33

€305m

Snr Sec

Floating

100

Priced: 3mE+325bp tap at 100

Price talk: 7yrNC0.5: 99.75a

IPTs: 7yrNC0.5: 99.25a

  • Issuer: United Group BV
  • Ticker: ADRBID
  • Ratings: B2/B (stable/stable) (Moody's/S&P)
  • Format: 144A/Reg S (No reg rights)
  • Size: €305m
  • Type: Tap
  • Security: Senior Secured FRN
  • Maturity: 31-Jan-33
  • Coupon: 3mE+325bp
  • Call Protection: NC0.5, MWC B+50bp, Callable 31-Jan-27 at 100
  • Change of Control: 101
  • Interest Payment Dates: 15-Feb, 15-May, 15-Aug, 15-Nov, starting 15-Aug-26
  • Listing: ISE
  • Governing Law: New York
  • Denominations: €100k x €1k
  • Fungibility: 144A immediately (Reg S after 40 days)
  • Original Issue: €1.13bn priced 15-Jan-26
  • Settlement: 06-June-26
  • Reg S temporary ISIN: XS3402769817
  • Reg S permanent ISIN: XS3274827933
  • 144A ISIN: XS3274828311
  • Use of Proceeds: Redeem its existing €300m 4.625% sr sec notes due 15-Aug-28 (callable at 101.156)
  • Sole Physical Bookrunner: JPM
  • Joint Global Coordinators & Joint Bookrunners: BNPP, Citi, CA-CIB, DB, GS, ING, KKR, Mizuho, MS, RBI, UniCredit
  • Biz: leading telco and media player in Southeastern Europe (Bulgaria, Serbia, Slovenia, Croatia, Bosnia & Herzegovina, Montenegro and Greece). HQ: Amsterdam, Netherlands.
  • Marketing: GIC 03-Jun-26 at 10:00am UKT.
  • Timing: Books close at 12pm UKT 04-Jun-26
  • FTT: 04-Jun-26 at 2:30pm UKT.