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Commentary & Deal Flow

PRICED: Deutsche Kreditbank €1bn 12yr CB; MS+37bp

IGC European Market: Deal Flow - General

Issuer

Term

Coupon

Maturity

Size

Ranking

Type

ISIN

Price

Yield

Guidance

Spread

GDNC-PXD

Deutsche Kreditbank

12yr

3.375%

09-Jul-38

€1bn

CB

Fixed

DE000DKB0614

99.825

3.393%

MS+42a

MS+37

-5


Reoffer: 12yr: MS+37bp / 99.825 / 3.393%
Benchmark: 12yr: DBR 1.00% 15-May-38 @ 79.48% / B+30.1bp / HR 113%

12yr: Final Books €1.455bn (incl. €110m JLM). Peak book €1.63bn.

Launched: 12yr: €1bn @ MS+37bp - Final books €1.63bn (incl. €110m JLM)
Spread set at: 12yr: MS+37bp - Books above €1.5bn (incl. €90m JLM)
Book Update: Books above €1.5bn (incl. €90m JLM)
Guidance: 12yr: MS+42a


  • Issuer: Deutsche Kreditbank AG
  • Ticker: DKRED
  • LEI: 5299900K16YGKC8BES892
  • Ranking: Mortgage Covered Bond (Hypothekenpfandbrief)
  • Format: Reg S Bearer
  • Label: European Covered Bond (Premium)
  • Expected Issue Ratings: Aaa (Moody's)
  • Size: €1bn
  • Settlement: 09-Jul-26 (T+6)
  • Maturity: 09-Jul-38 (12 years)
  • Coupon: 3.375%
  • Reoffer Price: 99.825
  • Reoffer Yield: 3.393%
  • Reoffer Spread: MS+37bp
  • Interest: Fixed coupon, payable annually
  • Day Count: Act/Act (ICMA)
  • Business Day Convention: Unadjusted Following
  • Denominations: €1,000 + €1,000
  • Listing: Munich
  • Governing Law: German Law
  • Documentation: German Language Final Terms based on a German Language Base Prospectus, dated 27-May-26
  • Joint Bookrunners: BayernLB (B&D), Commerzbank, DZ BANK, Erste Group, Société Générale, UniCredit
  • ISIN / WKN: DE000DKB0614 / DKB061
  • Target Market (MIFID II): The manufacturer target market (MiFID II/UK MiFIR product governance) are eligible counterparties, professional clients and retail clients (all distribution channels).
  • Fees: The joint bookrunners will be paid a fee in respect of the placement of the securities.
  • Timing: Priced, TOE 14:10 CET, FTT 14:20 CET
  • Advertisement: https://www.dkb.de/ueber-uns/investor-relations/basisprospekte