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by Oleksandr Vynychuk
Sep 07, 2026 10:24 AM ET
Issuer | Term | Coupon | Maturity | Size | Ranking | Type | Price | Yield | Spread | IPT-PXD | ISIN |
|---|---|---|---|---|---|---|---|---|---|---|---|
Brenntag Finance B.V. | 7yr | 4.250% | 14-Sep-33 | €500m | Sr Unsec | Fixed | 99.626 | 4.313% | MS+100 | -32.5 | XS3502111522 |
Reoffer: 7yr: MS+100bp / 99.626 / 4.313%
Benchmark: 7yr: DBR 2.6 15-Aug-34 @ 96.24 / B+110bp (HR: 99%)
Tranche 1 (7yr): Final Books €1.9bn+. Peak book in excess of €2.2bn+ (pre rec, ex JLM interest)
Launched: 7yr: €500m @ MS+100bp - Books in excess of €2.2bn+ (pre rec, ex JLM interest)
IPTs: 7yr: MS+130/135bp