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Commentary & Deal Flow

ALLOCATIONS OUT: Republic of Italy €18bn 7yr & 29yr Sr Unsec Taps; BTP+6bp & BTP+5bp

IGC European Market: Deal Flow - SSA

Issuer

Term

Maturity

Size

Ranking

Type

Spread Set

ISIN

Republic of Italy

7yr

15-Jun-33

€13bn

Sr Unsec

Fixed

BTP+6

IT0005704868

Republic of Italy

29yr

01-Oct-55

€5bn

Sr Unsec

Fixed

BTP+5

IT0005668238


7yr: Final books at reoffer over €128bn (incl. €7.245bn JLM) | 29yr: Final books at reoffer over €112bn (incl. €5.645bn JLM)

Launched:
7yr: €13bn @ BTP+6bp - Books over €128bn (incl. €7.245bn JLM)
29yr: €5bn @ BTP+5bp - Books over €112bn (incl. €5.645bn JLM)

Spread set at: 7yr: BTP+6bp - Book in excess of €100bn (incl. €7.245bn JLM) | 29yr: BTP+5bp - Book in excess of €85bn (incl. €5.645bn JLM)


  • Issuer: Republic of Italy
  • Ratings: Baa2/BBB+/BBB+/AL/BBB+ (Moody's/S&P/Fitch/DBRS/Scope)
  • Format: Buoni del Tesoro Poliennali (Reg S in dematerialised book entry form), 144A eligible, CACs
  • Settlement: 16-Jun-26 (T+5)
  • Tranche:
    • 7yr: BTPS 3.30% 15-Jun-2033 tap
    • 29yr: BTPS 4.65% 1-Oct-2055 tap
  • Size:
    • 7yr: €13bn
    • 29yr: €5bn
  • Maturity:
    • 7yr: 15-Jun-33
    • 29yr: 01-Oct-55
  • Coupon:
    • 7yr: 3.30%, S/A ACT/ACT. (1 day accrued)
    • 29yr: 4.65%, S/A ACT/ACT (76 days accrued)
  • Spread:
    • 7yr: BTPS 3.15% 03/2033 +6bps
    • 29yr: BTPS 4.30% 10/2054 +5bps
  • Hedge Ratio:
    • 7yr: 103% vs ref BTP Mar-33s
    • 29yr: 105% vs ref BTP Oct-54s
  • ISIN:
    • 7yr: IT0005704868
    • 29yr: IT0005668238 (both funge immediately)
  • Listing: Borsa Italiana S.p.A. (M.O.T.) (Regulated Market), also trading on MTS
  • Denoms: €1k + €1k
  • Law: Italian Law
  • Docs: Domestic, Standalone
  • Target Market: The target market (MIFID II and UK MIFIR product governance) is eligible counterparties, professional and retail (all distribution channels).
  • Bookrunners: BNPP / BofA / GSBE (B&D/DM) / JPM / MS / Santander
  • Hedge Deadline: 13.30 UKT / 14:30 CET
  • Timing: Pricing later today