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Commentary & Deal Flow

LAUNCHED: Kingspan Securities (Ireland) DAC €850m 4yr & 7yr Sr Unsec Green; MS+63bp & MS+95bp

IGC European Market: Deal Flow - General

Issuer

Term

Maturity

Size

Ranking

Type

IPT

Guidance

Spread Set

Kingspan Securities (Ireland) DAC

4yr

9-Sep-30

€350m

Sr Unsec

Fixed

MS+100a

MS+65

MS+63

Kingspan Securities (Ireland) DAC

7yr

9-Sep-33

€500m

Sr Unsec

Fixed

MS+125a

MS+95

MS+95


Launched:
4yr: €350m @ MS+63bp - Books above €2.05bn (pre-rec)
7yr: €500m @ MS+95bp - Books above €1.7bn (pre-rec)

Guidance: 4yr: €350m @ MS+65bp (+/-2bps WPIR) - Books above €2.3bn (pre-rec) 7yr: €500m @ MS+95bp (+/-2bps WPIR) - Books above €2.3bn (pre-rec)

IPTs: 4yr: MS+100a 7yr: MS+125a


  • Issuer: Kingspan Securities (Ireland) DAC
  • Guarantors: Kingspan Group plc (the 'Parent', Country: IE), Kingspan Holdings (Irl) Limited, Kingspan Securities Limited, Kingspan Holdings (Overseas) Limited, Kingspan Holdings (North America) Limited, Kingspan Holdings Limited, Kingspan International Finance Unlimited Company, Kingspan Holdings Panels US, Inc
  • LEI of Issuer: 635400FJSIQEIEFQMV55
  • LEI of Parent: 635400HM7V74SUB9OG75
  • Parent Ratings (S&P/Fitch): BBB (stable) / BBB (stable)
  • Expected Issue Ratings: BBB/BBB (S&P/Fitch)
  • Format: Senior Unsecured, Reg S, Green, Bearer, NGN
  • Size: 4yr: €350m, 7yr: €500m
  • Ranking: Senior Unsecured
  • Bookrunners: BNP Paribas, BofA Securities Europe SA, ING and UniCredit (B&D)
  • Sole ESG Structuring Coordinator: ING
  • Maturity Date:
    • 4yr: 9-Sep-30 (4 years)
    • 7yr: 9-Sep-33 (7 years)
  • Par Call:
    • 4yr: Yes, 1 month
    • 7yr: Yes, 3 month
  • Optional Redemption: Change of Control Put (at Par) / Clean Up Call (75%) / MWC
  • ISIN / Common Code:
    • 4yr: XS3486650495 / 348665049
    • 7yr: XS3486650651 / 348665065
  • Docs / Denoms: €3.0bn EMTN Programme dated 6-Mar-26 and supplemented on 7-Aug-26 and 28-Aug-26 / Global Exchange Market of Euronext Dublin / English Law / €100k+1k
  • Clearing: Euroclear and Clearstream, Luxembourg
  • Business Days: T2
  • Day Count: Act/Act (ICMA)
  • Coupon: Fixed, annually in arrears, Act/Act (ICMA)
  • Selling Restrictions: Reg S Cat 2, TEFRA D; no sales into the US as set out more fully in the Base Listing Particulars. Canada: Offers/sales into Ontario/Alberta/British Columbia only, subject to compliance with applicable law
  • UoP: The net proceeds will be used to finance and/or refinance a portfolio of eligible projects that meet the eligibility criteria set forth in the Green Finance Framework dated October 2024
  • Marketing: URL: https://dealroadshow.finsight.com / Entry Code: KINGSPAN2026 / Direct Link: https://dealroadshow.finsight.com/e/KINGSPAN2026
  • Target Market: Manufacturer target market (MiFID II and MiFIR product governance) is MiFID II/ MiFIR Professionals & Eligible Counterparties only (all distribution channels). No EEA PRIIPs key information document ("KID") or UK PRIIPs KID/ CCI product summary has been prepared as the Notes are not available to retail in the EEA or the United Kingdom
  • Advertisement: This communication is an advertisement. The Base Listing Particulars dated 6-Mar-26 and the supplements dated 7-Aug-26 and 28-Aug-26 are available, and the pricing supplement, when published, will be available, at: www.euronext.com/en/markets/dublin. The Green Finance Framework and Second Party Opinion are available on the Issuer's website: https://www.kingspangroup.com/en/investors/debt-investors/
  • Timing: Books open, today's business
  • Books Subject: 12.35 UKT / 13.35 CET
  • Settle: 9-Sep-26 (T+5)