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by Anastasiia Zaika
Aug 21, 2026 9:13 AM ET
Issuer | Term | Call | Coupon | Maturity | Size | Ranking | Type | Price | Yield | Spread | IPT-PXD |
|---|---|---|---|---|---|---|---|---|---|---|---|
Banque Fédérative du Crédit Mutuel | 11NC6 | 6y | 4.5% | 01-Sep-37 | €750m | T2 | Fixed Rate Reset | 99.861 | 4.527% | MS+140 | -12.5 |
Reoffer: 11NC6: MS+140bp / 99.861 / 4.527%
Benchmark: +153bp vs DBR 1.7 15-Aug-32 (93.000 / HR 100%)
Tranche 1 (11NC6): Final Books €1.1bn (incl. €50m JLM). Peak book €1.2bn (incl. €50m JLM)
Launched: 11NC6: €750m @ MS+140bp - Books €1.2bn (incl. €50m JLM)
Book Update: Books subject
Spread set at: 11NC6: MS+140bp - Books over €950m
IPTs: 11NC6: MS+150/155bp