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Commentary & Deal Flow

PRICED: NatWest Markets Plc €1.25bn 3yr Sr Unsec; MS+45bp

IGC European Market: Deal Flow - General

Issuer

Term

Coupon

Maturity

Size

Ranking

Type

Price

Yield

Spread

IPT-PXD

NatWest Markets Plc

3yr

3.125%

30-Jun-29

€1.25bn

Sr Unsec

Fixed

99.791

3.199%

MS+45

-25


Reoffer: 3yr: MS+45bp / 99.791 / 3.199%
Benchmark: 3yr: OBL 2.1 29-Apr-29 @ 98.76 / B+63.6 / HR 106%

Final book €1.8bn+. Peak book €2.25bn+ (incl. €60m JLM)

Launched: 3yr: €1.25bn @ MS+45bp - Books closed €2.1bn+ (incl. €10m JLM, pre-rec)
Spread set at: 3yr: MS+45bp - Books €2.25bn+ (incl. €60m JLM)
Book Update: Books €2bn+ (incl. €60m JLM)
IPTs: 3yr: MS+70a


  • Issuer: NatWest Markets Plc
  • Issuer LEI: RR3QWICWWIPCS8A4S074
  • Expected Ratings: A1/A/AA (Moody's/S&P/Fitch)
  • Ranking: Senior, unsecured, unsubordinated
  • Settlement: 30-Jun-26 (T+5)
  • Maturity: 30-Jun-29
  • Size: €1.25bn
  • Reoffer: MS+45bps / 3.199% / 99.791%
  • Benchmark: OBL 2.1 29-Apr-29 + 63.6bps (spot 98.76, HR 106%)
  • Coupon: 3.125% Fixed, Annual, ACT/ACT ICMA
  • Business Days: TARGET2, London
  • Documentation: Issued under the Issuer’s £25bn EMTN programme dated 05-Dec-25 and supplemented on 13-Feb-26, 01-May-26 and 14-May-26
  • List/Denoms/Law: London / €100k+€1k / English law
  • Format: Bearer, New Global Note (NGN)
  • Restrictions: Reg S, Cat 2, TEFRA D and per the Base Prospectus. Sales into Italy permitted.
  • Fees: The Banks will be paid a fee by the Issuer in respect of the placement of the securities. Details of the fee may be made available to investors on request from your usual sales contact.
  • Target Market: Manufacturer target market (MIFID II product governance and UK MiFIR product governance) is eligible counterparties and professional clients only (all distribution channels). No PRIIPs key information document / CCI disclosure document has been prepared as not available to retail in the EEA or in the UK.
  • Advertisement: The Base Prospectus and (when published) Final Terms are available on the website of the London Stock Exchange: www.londonstockexchange.com.
  • Joint Lead Managers: BBVA, ING, NatWest (B&D), SMBC, Societe Generale, UniCredit
  • ISIN: XS3423992232
  • Timing: Priced. TOE 15:09 UKT. FTT 15:30 UKT.