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Commentary & Deal Flow

LAUNCHED: The Goldman Sachs Group, Inc. €5.0bn 3-part Sr Unsec; 3m€+78bp, MS+68bp & MS+105bp

IGC European Market: Deal Flow - General

Issuer

Term

Call

Maturity

Size

Ranking

Type

IPT

Spread Set

ISIN

The Goldman Sachs Group, Inc.

4nc3

3y

22-Jul-30

€1.25bn

Sr Unsec

Floating

3m€+100/105

3m€+78

XS3447650907

The Goldman Sachs Group, Inc.

4nc3

3y

22-Jul-30

€2.0bn

Sr Unsec

Fixed to Floating

MS+90/95

MS+68

XS3447651202

The Goldman Sachs Group, Inc.

8nc7

7y

22-Jul-34

€1.75bn

Sr Unsec

Fixed to Floating

MS+125/130

MS+105

XS3447651111


Launched:
4NC3 FRN: €1.25bn @ 3m€+78bp - Books >€2.7bn
4NC3 FXD/FRN: €2.0bn @ MS+68bp - Books >€4.7bn
8NC7 FXD/FRN: €1.75bn @ MS+105bp - Books >€5.4bn

Spread set at:
4nc3 FRN: 3m€+78bp - Books >€2.6bn
4nc3 FXD/FRN: MS+68bp - Books >€4.4bn
8nc7 FXD/FRN: MS+105bp - Books >€4.2bn

Book Update: Combined books €8bn+ (4nc3 FRN: €2.2bn+, 4nc3 FXD/FRN: €2.7bn+, 8nc7 FXD/FRN: €3.1bn+)

IPTs:
4nc3 FRN: 3m€+100/105bp
4nc3 FXD/FRN: MS+90/95bp
8nc7 FXD/FRN: MS+125/130bp


  • Issuer: The Goldman Sachs Group, Inc.
  • LEI: 784F5XWPLTWKTBV3E584
  • Ratings: A2/BBB+/A (Moody's/S&P/Fitch)
  • Ranking: Senior Unsecured, Unsubordinated
  • Tenor:
    • 4nc3 FRN
    • 4nc3 Fixed to Floating
    • 8nc7 Fixed to Floating
  • Maturity:
    • 4nc3 FRN: 22-Jul-30
    • 4nc3 Fixed to Floating: 22-Jul-30
    • 8nc7 Fixed to Floating: 22-Jul-34
  • Optional Redemption Date:
    • 4nc3 FRN: 22-Jul-29
    • 4nc3 Fixed to Floating: 22-Jul-29
    • 8nc7 Fixed to Floating: 22-Jul-33
  • Size:
    • 4NC3 FRN: €1.25bn
    • 4NC3 FXD/FRN: €2.0bn
    • 8NC7 FXD/FRN: €1.75bn
  • Coupon to Optional Redemption Date:
    • 4nc3 FRN: 3m€ + reoffer margin, Quarterly ACT/360
    • 4nc3 Fixed to Floating: FXD, Annual ACT/ACT
    • 8nc7 Fixed to Floating: FXD, Annual ACT/ACT
  • Coupon after Optional Redemption Date:
    • 4nc3 FRN: 3m€ + reoffer margin
    • 4nc3 Fixed to Floating: 3m€ + reoffer margin
    • 8nc7 Fixed to Floating: 3m€ + reoffer margin
  • ISIN:
    • 4nc3 FRN: XS3447650907
    • 4nc3 Fixed to Floating: XS3447651202
    • 8nc7 Fixed to Floating: XS3447651111
  • Par Call: Anytime 3mth prior to final maturity
  • Settlement Date: 22-Jul-26 (T+5)
  • Listing: Luxembourg Stock Exchange’s regulated market
  • Denoms/Forms: €1,000 + €1,000 / Registered Form
  • Law: New York
  • Docs: Issuer’s EMTN Programme, Series F
  • Use of Proceeds: General corporate purposes
  • Selling Restrictions: US: RegS Only; No sales into Canada; EEA and UK: offers to Qualified Investors only
  • Tax: US issuer, see Final Terms and Programme Base Prospectus on FATCA withholding
  • Target Markets: Manufacturer target market (EU MIFID / UK MIFIR product governance is eligible counterparties and professional clients only (all distribution channels))
  • Lead Bookrunner: Goldman Sachs International (B&D)
  • Timing: Books open, today’s business
  • Books Subject: 12:15 UKT / 13:15 CET