Related Parents
Related Issuers
by Chris Reich
Jun 22, 2026 4:06 PM ET
Issuer | Term | Maturity | Size | Ranking | Type | Price | Yield | Spread | IPT-PXD |
|---|---|---|---|---|---|---|---|---|---|
Bank Leumi Le-Israel BM | 3yr | 29-Jun-29 | US$600m | Sr Unsec | Fixed | 100 | 5.343% | T+110 | -20 |
Bank Leumi Le-Israel BM | 7yr | 29-Jun-33 | US$400m | Sr Unsec | Fixed | 100 | 5.642% | T+125 | -25 |
Reoffer: 3yr: T+110bp / 100 / 5.343% 7yr: T+125bp / 100 / 5.642%
Benchmark: 3yr: T 4 1/8 15-Jun-29 @ yield 4.243%, 99-21+ / HR 99% 7yr: T 4 1/4 31-May-33 @ yield 4.392%, 99-05 / HR 97%
TOE: 3yr: 7:04pm UKT 22-Jun-26 7yr: 7:03pm UKT 22-Jun-26
FTT: 8:00am UKT 23-Jun-26 (subject to term sheet)
Launched:
3yr: US$600m @ T+110bp - Orderbook >US$1.4bn (ex JLM)
7yr: US$400m @ T+125bp - Orderbook >US$900m (ex JLM)
IPTs: 3yr: T+130a 7yr: T+150a