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Commentary & Deal Flow

LAUNCHED: Nykredit Realkredit €750m 7.25yr SNP; MS+100bp

IGC European Market: Deal Flow - General

Issuer

Term

Maturity

Size

Ranking

Type

IPT

Spread Set

ISIN

Nykredit Realkredit

7.25yr

26-Sep-33

€750m

SNP

Fixed

MS+125a

MS+100

DK0030566781


Launched: 7.25yr: €750m @ MS+100bp - Orderbooks in excess of €2.1bn
IPTs: 7.25yr: MS+125a


  • Issuer: Nykredit Realkredit A/S (ticker: NYKRE)
  • LEI: LIU16F6VZJSD6UKHD557
  • Issuer Ratings: A+/AA (S&P/Fitch)
  • Expected Issue Ratings: BBB+/A+ (S&P/Fitch)
  • Status: Direct and unsecured debt obligations of the Issuer and shall at all times rank: (i) pari passu without any preference among themselves; (ii) pari passu with any other obligations or instruments of the Issuer that rank or are expressed to rank pari passu with the Notes; (iii) senior to holders of the Issuer’s ordinary shares and any subordinated obligations or capital instruments of the Issuer; (iv) junior to present or future claims of unsubordinated creditors of the Issuer, as provided for in Condition 4(b) (Status of the Notes)
  • Size: €750m
  • Pricing Date: 17-Jun-26
  • Settle: 26-Jun-26 (T+7)
  • Maturity Date: 26-Sep-33
  • Coupon: Fixed, Annually, Act/Act ICMA, short first
  • Regulatory Call: Applicable
  • Tax Call: Applicable
  • Substitution and Variation: Applicable
  • Statutory Loss Absorption: Upon the occurrence of a Resolution Event, the Outstanding Principal Amounts of such Notes may be written-down permanently (in whole or in part) or such Notes may be converted (in whole or in part) into a subordinated instrument of the Issuer, all as determined by the Relevant Regulator and/or the DanishResolution Authority as described, and subject as provided for in Condition 6 (Loss absorption following a Resolution Event).
  • Listing: Nasdaq Copenhagen A/S (Regulated market)
  • Clearing: Euroclear / Clearstream Luxembourg & VP Securities A/S
  • Denominations: €100,000 + 1,000 increments
  • Governing Law: Danish Law
  • Format: Reg S, Bearer
  • ISIN: DK0030566781
  • Documentation: €15bn Euro Medium Term Note Programme (base prospectus dated 08-May-26, the “Base Prospectus”)
  • Joint Lead Managers: BBVA, BNP Paribas, Helaba, Morgan Stanley, Nykredit Bank
  • Selling Restrictions: US (Reg S = Cat 2 / TEFRA = N/A), UK, Denmark, Japan. No EU PRIIPs key information document (KID) and no UK disclosure document required by DISC have been prepared as the notes are not available to retail in EEA or UK.
  • Target Market: Manufacturer target market (MiFID II/ UK MiFIR product governance) is eligible counterparties and professional clients only (all distribution channels).
  • Advertisement: This communication is an advertisement and is not a prospectus. The Base Prospectus, and the supplements thereto, and the Final Terms (when published) are available at https://www.nykredit.com/en-gb/investor-relations/
  • Timing: Books open, today's business
  • Books Subject: 12.00 UKT / 13.00 CET