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Commentary & Deal Flow

NEW ISSUE: PRICOA Global Funding I £ bmk 5yr FA-Backed; UKT+90a

IGC European Market: Deal Flow - General

Issuer

Term

Maturity

Size

Ranking

Type

ISIN

IPT

PRICOA Global Funding I

5yr

08-Jul-31

£ bmk

FA-Backed

Fixed

XS3430670979

UKT+90a


IPTs: UKT+90a


  • Issuer: PRICOA Global Funding I (Ticker: PRU)
  • LEI Number: 635400IBXEBMD9ADYA79
  • Funding Agreement Provider: The Prudential Insurance Company of America
  • Expected Ratings: Aa3/AA-/AA- (Moody's/S&P/Fitch)
  • Format: Reg S Global Registered Note (CGN)
  • Size: £ Benchmark
  • Settlement: 08-Jul-26 (T+5)
  • Maturity: 08-Jul-31
  • Initial Price Thoughts: UKT+90a
  • Coupon: Fixed-Rate, Semi-annual (Act/Act)
  • Benchmark Security: UKT 0.250% due 31-Jul-31
  • Docs: Issued under the Issuer’s $15,000,000,000 Global Debt Issuance Program, pursuant to the Offering Circular, dated 28-Apr-26, as supplemented by the Offering Circular Supplement, dated 29-Jun-26 (as so supplemented, the “Offering Circular”), and the corresponding Pricing Supplement dated 30-Jun-26, when available
  • Marketing: URL: https://dealroadshow.finsight.com Entry Code: PRUDENTIALGBP26
  • Target Market: MiFID II/UK MiFIR Eligible counterparties and professional clients only (all distribution channels). No sales to EEA or UK retail. No EU PRIIPs or UK CCI product summary will be prepared.
  • Expected Listing: Global Exchange Market of Euronext Dublin
  • Advertisement: The Offering Circular, as well as the Pricing Supplement, when published, will be available at https://live.euronext.com/en/product/bonds-detail/17323/OVERVIEW
  • Governing Law: New York Law
  • Denominations: £100k x £1k
  • Use of Proceeds: To purchase a funding agreement from The Prudential Insurance Company of America
  • Active Bookrunners: BNPP, BofA, DB (B&D), HSBC
  • ISIN: XS3430670979
  • Timing: Today’s Business