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Commentary & Deal Flow

LAUNCHED: Rep of Italy US$6bn 5yr & 10yr & 30yr Sr Unsec; MS+65bp & MS+105bp & MS+180bp

IGC European Market: Deal Flow - SSAIGC US Market: Deal Flow - SSA

Issuer

Term

Maturity

Size

Ranking

Type

IPT

Guidance

Spread Set

Republic of Italy

5yr

14-Jul-31

US$2.5bn

Sr Unsec

Fixed

MS+70-75

MS+70a

MS+65

Republic of Italy

10yr

14-Jul-36

US$2.5bn

Sr Unsec

Fixed

MS+110-115

MS+110a

MS+105

Republic of Italy

30yr

14-Jul-56

US$1bn

Sr Unsec

Fixed

MS+185-190

MS+185a

MS+180


Launched:
5yr: US$2.5bn @ MS+65bp - Books >US$7.6bn (150mm JLM)
10yr: US$2.5bn @ MS+105bp - Books >US$7.7bn (25mm JLM)
30yr: US$1bn @ MS+180bp - Books >US$4.6bn (45mm JLM)
Spread set at: 5yr: MS+65bp / 10yr: MS+105bp / 30yr: MS+180bp - Total books >$14.6bn (ex JLM)
Guidance: 5yr: MS+70a / 10yr: MS+110a / 30yr: MS+185a - IOIs >$7.5bn (ex JLM)
IPTs: 5yr: MS+70-75bp / 10yr: MS+110-115bp / 30yr: MS+185-190bp


  • Issuer: Republic of Italy
  • Ticker: ITALY
  • Issuer Ratings: Baa2/BBB+/BBB+/AL/BBB+ (Moody's/S&P/Fitch/DBRS - stab/pos/stab/stab/pos)
  • Status of Notes: Senior, Unsecured, Unsubordinated
  • Format: Reg S/144A
  • Currency: US$
  • Size: US$2.5bn (5yr) / US$2.5bn (10yr) / US$1bn (30yr)
  • Settlement: 14-Jul-26 (T+5)
  • Maturity:
    • 5yr: 14-Jul-31
    • 10yr: 14-Jul-36
    • 30yr: 14-Jul-56
  • Coupon:
    • 5yr: TBD S/A 30/360
    • 10yr: TBD S/A 30/360
    • 30yr: TBD S/A 30/360
  • Final Spread:
    • 5yr: MS+65 (~CT5+38)
    • 10yr: MS+105 (~CT10+65)
    • 30yr: MS+180 (~CT30+107)
  • Books:
    • 5yr: >$7.6bn (150mm JLM)
    • 10yr: >$7.7bn (25mm JLM)
    • 30yr: >$4.6bn (45mm JLM)
  • Reg S ISINs:
    • 5yr: XS3441656454
    • 10yr: XS3441656611
    • 30yr: XS3441656702
  • 144A ISINs:
    • 5yr: US465410CE68
    • 10yr: US465410CF34
    • 30yr: US465410CG17
  • Listing: Luxembourg Stock Exchange, Regulated Market
  • Denominations/Governing Law: $200,000 + $1,000 / Italian Law
  • Delivery: Reg S: Euroclear/Clearstream, 144A: DTC
  • Docs: Issued under the Republic of Italy Programme for the Issuance of Debt Instruments' Simplified Base Prospectus dated 26-Feb-26, and the Pricing Supplement of the Instruments
  • Use of proceeds: General Funding Purposes
  • Bookrunners: BofA/Citi/GSBE SE/MS (B&D)
  • Target market: Retail, professional and eligible counterparties (all distribution channels)
  • Timing: Books closed, pricing later today