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Commentary & Deal Flow

UPDATE: Caisse de Refinancement de l’Habitat € bmk 7yr CB; Spread set at MS+38bp

IGC European Market: Deal Flow - General

Issuer

Term

Maturity

Size

Ranking

Type

Guidance

Spread Set

Caisse de Refinancement de l’Habitat

7yr

29-Jun-33

bmk

CB

Fixed

MS+43a

MS+38


Spread set at: 7yr: MS+38bp - Books above €1.5bn (incl. €525m JLM)
Guidance: 7yr: MS+43a


  • Issuer: Caisse de Refinancement de l’Habitat
  • LEI: 969500TVVZM86W7W5I94
  • ISIN: FR0014019DU6
  • Type: Obligations Foncieres - ECB Eligible – Reg S Bearer Category 2, dematerialised format – TEFRA not applicable – ECBC Covered. Bond Label - EU harmonisation label European Covered Bond (Premium) / CRD IV Compliant
  • Ratings: Aaa/AAA (Moody's/Fitch)
  • Settlement: 29-Jun-26 (T+7)
  • Maturity: 29-Jun-33
  • Size: €750m expected
  • Tenor: 7 year - Soft bullet
  • Spread: MS+38bp
  • Coupon: [•] annual, Act/Act ICMA
  • Listing/Law/Denoms: Euronext Paris / French Law / €100,000+€100,000
  • Documentation: Issuer’s EMTN Programme dated 20-Feb-26 and supplemented 11-May-26 and 12-Jun-26
  • Fees: The Banks will be paid a fee by the Issuer in relation to the transaction
  • Bookrunners: Barclays, Commerzbank, Crédit Agricole CIB, Natixis, Société Générale, UBS
  • MIFID/MIFIR II – Target Market: Manufacturer target market (MIFID II/UK MiFIR product governance) is eligible counterparties and professional clients only (the following distribution channels: investment advice, portfolio management, non-advised sales). No EEA PRIIPs KID or UK PRIIPs KID/CCI product summary has been prepared as not available to retail in EEA and the UK
  • Timing: Books open - Today's business
  • Books Subject: 12:25 CET
  • Advertisement: The Base Prospectus, any supplements thereto, and the Final Terms (when published) are available at http://www.crh-bonds.com/Prospectus/Listing_Prospectus.html