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by Jp Albin
Jun 23, 2026 9:12 AM ET
Issuer | Term | Coupon | Maturity | Size | Ranking | Type | Price | Yield | Guidance | Spread | GDNC-PXD |
|---|---|---|---|---|---|---|---|---|---|---|---|
KfW | Oct-31 | 2.5% | 15-Oct-31 | €3bn | Sr Unsec | Fixed | 98.415 | 2.825% | MS+6a | MS+5 | -1 |
Reoffer: Oct-31: MS+5bp / 98.415 / 2.825%
Benchmark: Oct-31: OBL 2.5% 16-Apr-31 @ 99.346% / B+18.2bp / HR 108%
Final Books: Above €8.5bn (incl. €1bn JLM)
Launched: Oct-31: €3bn @ MS+5bp - Books closed > €8.5bn (incl. €1bn JLM)
Spread set at: Oct-31: MS+5bp - Books > €7.6bn (incl. €1bn JLM)
Guidance: Oct-31: MS+6a