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Commentary & Deal Flow

PRICED: Basque Government €500m 9yr Sr Unsec; SPGB+4bp

IGC European Market: Deal Flow - SSA

Issuer

Term

Coupon

Maturity

Size

Ranking

Type

Price

Yield

Guidance

Spread

GDNC-PXD

Basque Government

9yr

3.45%

31-Oct-35

€500m

Sr Unsec

Fixed

99.767

3.476%

SPGB+9a

SPGB+4

-5


Reoffer: 9yr: SPGB+4bp / 99.767 / 3.476%
Benchmark: 9yr: SPGB 3.20% 31-Oct-35 @ 98.120%

Final Books €2.1bn+ (incl. €165m JLM). Peak book in excess of €2.2bn.

Launched: 9yr: €500m @ SPGB+4bp - Orderbooks in excess of €2.2bn (incl. €165m JLM interest)
Rev Guidance: 9yr: SPGB+6a - Orderbooks in excess of €2bn (incl. €165m JLM interest)
Guidance: 9yr: SPGB+9a (equiv. MS+45a)


  • Issuer: Basque Government
  • Ticker: BASQUE
  • Issuer Ratings: A2/AA-/A+ (Moody's/S&P/Fitch)
  • Expected Issue Ratings: A2/A+ (Moody's/Fitch)
  • LEI: 959800SNQAKVSTR20G68
  • Format: Reg S Cat 1, Dematerialise Book-entry form (No sales into Canada)
  • Ranking: Senior, Unsecured
  • Status: Risk weighted 0%, LCR Level 1
  • Size: €500m
  • Settlement: 19-Jun-26 (T+8)
  • Maturity: 31-Oct-35 (Long 9 year)
  • Coupon: 3.450% Fixed, Annual, Act/Act, long first coupon
  • Spread: SPGB (mid) + 4bps
  • Benchmark Ref: SPGB 3.20% 31-Oct-35 (3.436% - 98.120%)
  • Reoffer: 99.767% (3.476%)
  • Listing: Bolsa de Bilbao
  • Governing Law: Spanish
  • Min Denominations: €1,000 plus €1,000
  • Use of Proceeds: General budgetary purposes
  • 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
  • Global Coordinators: BBVA and Kutxabank Investment
  • Joint Bookrunners: Banco Sabadell, BBVA (B&D), CaixaBank, Deutsche Bank, ING, Kutxabank Investment 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: ES0000106783
  • Timing: Priced. TOE: 15:34 CET, FTT: 15:50 CET