No results found for "".

Commentary & Deal Flow

PRICED: Heathrow Funding €500m 13NC11 Snr Sec; MS+125bp

IGC European Market: Deal Flow - General

Issuer

Term

Call

Coupon

Maturity

Size

Ranking

Type

Price

Yield

Spread

IPT-PXD

Heathrow Funding Limited

13NC11

11y

4.375%

11-Jun-37

€500m

Snr Sec

Fixed to Floating

99.931

4.383%

MS+125

-30


Reoffer: 13NC11: MS+125bp / 99.931 / 4.383%
Benchmark: 13NC11: DBR 4% 01-Apr-37 @ 107.97 / B+128.1bps / HR 92%

Final Books above €1bn (excl JLM interest). Peak book in excess of €1.6bn (incl. €25m JLM interest)

Launched: 13NC11: €500m @ MS+125bp - Books in excess of €1.6bn (Incl 25mm JLM interest)
IPTs: 13NC11: MS+155bp area


  • Issuer: Heathrow Funding Limited (ticker: HTHROW, country: GB)
  • Issuer LEI: 7TI96JO3DYEIQWZ7Z726
  • Obligors: Heathrow Airport Limited, Heathrow (AH) Limited, Heathrow (SP) Limited and Heathrow Express Operating Company Limited
  • Exp Issue Rating: BBB+/A- (S&P/Fitch)
  • Format and Status: Reg S, Registered, Senior Secured Class A Bonds
  • Size: €500m
  • Settlement: 11-Jun-26 (T+2)
  • Scheduled Redemption Date: 11-Jun-37
  • Tenor: 11yr
  • Final Maturity: 11-Jun-39, if not redeemed on 11-Jun-37 the coupon will reset to EURIBOR+400bps
  • Re-offer: MS+125bp, 99.931, 4.383%
  • Benchmark: DBR 4% 01-Apr-37 @107.97, B+128.1bps HR 92%
  • Coupon: 4.375% Fixed, Annual, ACT/ACT (ICMA)
  • ISIN: XS3405671960
  • UoP: General Corporate Purposes
  • Call Options: 3m Par Call / MWC Bunds +20
  • Denoms: €100k + €1k
  • Listing / Docs: Official List of the London Stock Exchange / £50bn Multicurrency EMTN Programme dated 19-Dec-25, as supplemented on 02-Mar-26 and 02-Apr-26
  • Governing Law: English Law
  • Clearing: Euroclear/ Clearstream Luxembourg
  • Active Bookrunners: MUFG, NAB, RBC Capital Markets, Santander, Société Générale (B&D)
  • Target Market: No EEA PRIIPs key information document (KID) and no UK PRIIPs KID/CCI Product Summary has been prepared as not available to retail in EEA or UK.
  • Timing: TOE 16:00 UK / 17:00 CET, FTT 16:20 UK/ 17:20 CET
  • Advertisement: This communication is an advertisement. The Base Prospectus dated 19-Dec-25 and any supplements thereto, and the Final Terms relating to the securities, when published will be, available at https://www.londonstockexchange.com/