NEW ISSUE: Statnett SF € bmk 8.75yr Green Sr Unsec; MS+95/100bp
IGC European Market: Deal Flow - General
Issuer
Term
Maturity
Size
Ranking
Type
IPT
Statnett SF
8.75yr
20-Mar-35
bmk
Sr Unsec
Fixed
MS+95/100
IPTs: MS+95/100bp
Issuer:Statnett SF
Ticker: STATNE
Country: NO
LEI Code: 5967007LIEEXZXHAI017
Ratings: A2/A+ (Moody's/S&P)
Expected Issue Rating: A+ by S&P
Rating Split: Issuer: A2/A+ (Moody's/S&P), Issue: A+ by S&P
Format: Reg S, Bearer, NGN
Ranking: Senior Unsecured
Size: € Benchmark
Settlement Date: 23-Jun-26 (T+5)
Maturity Date: 20-Mar-35 (8.75-year)
IPTs: MS+95-100bps
Coupon: Fixed, Annual, Act/Act (ICMA), Short First Coupon
Business Days: T2, Oslo
ISIN: XS3417524421
Use of Proceeds: To finance/refinance Eligible Projects meeting the Eligibility Criteria set out in Statnett’s Green Bond Framework 2024
Documentation: EMTN / Euronext Dublin (Regulated Market) / English Law / €100k + €1k / CoC Put at par/ Clean-up call (80%) at par / 3m Par Call / MWC (Partial or in Whole) / Tax Call (at par)
Joint Bookrunners: Barclays (B&D), BNP Paribas, Danske Bank, DNB Carnegie, NatWest
Selling Restrictions: As stipulated in the EMTN Programme dated 21-May-26 (Reg S Category 2, TEFRA D)
Target Market: Manufacturer target market (MiFID II product governance / UK MiFIR product governance rules) is eligible counterparties and professional clients only (all distribution channels). No PRIIPs key information document (KID) or FCA Product Disclosure Sourcebook (DISC) disclosure document has been prepared as the bonds are not available to retail in EEA or the UK.