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Commentary & Deal Flow

ALLOCATIONS OUT: Mileway EUR Lux Holdco €1.5bn 4yr & 7yr Sr Unsec; MS+105 & MS+143

IGC European Market: Deal Flow - General

Issuer

Term

Maturity

Size

Ranking

Type

IPT

Guidance

Spread Set

ISIN

Mileway EUR Lux Holdco

4yr

15-Jul-30

€850m

Sr Unsec

Fixed

MS+135a

MS+110

MS+105

XS3439307045

Mileway EUR Lux Holdco

7yr

15-Jul-33

€650m

Sr Unsec

Fixed

MS+170/175

MS+145

MS+143

XS3439307128


4yr: Final Books >€1.65bn. Peak book >€2bn.
7yr: Final Books >€1.5bn. Peak book >€1.75bn.

Launched: 4yr: €850m @ MS+105bp 7yr: €650m @ MS+143bp
Guidance: 4yr: MS+110bp (+/-5 WPIR) 7yr: MS+145bp (+/-5 WPIR) - Books >€3.75bn (4yr >€2bn, 7yr >€1.75bn)
IPTs: 4yr: MS+135a 7yr: MS+170/175bp


  • Issuer: Mileway EUR Lux Holdco S.à r.l. (Ticker: MILEWY; Country: LUX)
  • Guarantors: Mileway EUR Lux Bidco S.à r.l.
  • Issuer LEI: 213800PN1NF2W1ACOG21
  • Issuer Rating: Baa2 (Stable) by Moody’s
  • Issue Rating: Baa2 by Moody’s
  • Ranking and Form: Senior, Unsecured, Registered form
  • Format: Reg S Only, Category 1
  • Size:
    • 4yr: €850m
    • 7yr: €650m
  • Maturity:
    • 4yr: 15-Jul-30
    • 7yr: 15-Jul-33
  • ISIN:
    • 4yr: XS3439307045
    • 7yr: XS3439307128
  • Coupon:
    • 4yr: FXD, Annual, Act/Act (ICMA)
    • 7yr: FXD, Annual, Act/Act (ICMA)
  • MWC:
    • 4yr: Yes
    • 7yr: Yes
  • Par call:
    • 4yr: 2 month
    • 7yr: 3 month
  • Early Redemption: Make-Whole Redemption (in part, applicable), Clean-Up Call at par (80%), Change of Control Put at 101%, Asset Sale Put at 101%, Tax Call at par
  • UoP: Proceeds will be used for repayment of existing indebtedness, transaction cost and expenses and/or general corporate purposes
  • Denominations: €100k + €1k
  • Covenants: Debt incurrence permitted when: Leverage Ratio ≤ 60% Secured Debt Test ≤ 40% Fixed Charge Cover Ratio ≥ 1.5x Unencumbered Assets Test ≥ 125% See the Base Listing Particulars for further information.
  • Target Market: Manufacturer target market (MIFID II product governance) is eligible counterparties and professional clients only (all distribution channels) No EEA PRIIPs key information document (KID) or UK PRIIPs KID/CCI product summary has been prepared as not available to retail in EEA or UK
  • Selling Restrictions: As set out in Base Listing Particulars dated 03-Jul-26
  • Sales into Canada: Offers/sales into Ontario/Alberta/British Columbia only, subject to compliance with applicable law
  • Documentation: Under the Issuer’s €10,000,000,000 Euro Medium Term Note Programme, established pursuant to the base listing particulars dated 03-Jul-26 (the “Base Listing Particulars”) https://live.euronext.com/en/product/bonds-detail/37670/documents
  • Governing Law / Listing: English Law / Euronext Dublin GEM
  • Dealroadshow: URL: https://dealroadshow.finsight.com; Entry Code: MILEWAY2026 or direct link https://dealroadshow.finsight.com/e/MILEWAY2026
  • Billing & Delivery: Goldman Sachs International
  • Global Coordinators: Goldman Sachs International (B&D), JP Morgan, Citi
  • Bookrunners: BNP Paribas, BofA Securities, Citi, Crédit Agricole CIB, Goldman Sachs International (B&D), ING, JP Morgan, RBC Capital Markets, Standard Chartered Bank, Wells Fargo Securities
  • Reference Benchmark:
    • 4yr: OBL 2.4% Apr-30 (HR: 103%)
    • 7yr: DBR 2.3% Feb-33 (HR: 102%)
  • Hedge Deadline: 15:25 UKT / 16:25 CET
  • Timing: Books Open, Today’s Business
  • Books Subject: 12:45 UKT / 13:45 CET
  • Pricing Date: 08-Jul-26
  • Settlement Date: 15-Jul-26 (T+5)