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Commentary & Deal Flow

LAUNCHED: Amazon.com £4.25bn 3yr, 6yr, 12yr & 19yr Sr Unsec; UKT+53bp, UKT+75bp, UKT+90bp & UKT+93bp

IGC European Market: Deal Flow - General

Issuer

Term

Maturity

Size

Ranking

Type

ISIN

IPT

Spread Set

Amazon.com

3yr

14-Sep-29

£1.25bn

Sr Unsec

Fixed

XS3504677348

UKT+70a

UKT+53

Amazon.com

6yr

14-Sep-32

£1bn

Sr Unsec

Fixed

XS3504677694

UKT+90a

UKT+75

Amazon.com

12yr

14-Sep-38

£1bn

Sr Unsec

Fixed

XS3504677777

UKT+105a

UKT+90

Amazon.com

19yr

14-Sep-45

£1bn

Sr Unsec

Fixed

XS3504677934

UKT+110a

UKT+93


Launched:
3yr: £1.25bn @ UKT+53bp
6yr: £1bn @ UKT+75bp
12yr: £1bn @ UKT+90bp
19yr: £1bn @ UKT+93bp

Spread set at: 3yr: UKT+53bp 6yr: UKT+75bp 12yr: UKT+90bp 19yr: UKT+93bp
IPTs: 3yr: UKT+70a 6yr: UKT+90a 12yr: UKT+105a 19yr: UKT+110a


  • Issuer: Amazon.com, Inc.
  • Ticker: AMZN
  • Country: US
  • LEI: ZXTILKJKG63JELOEG630
  • Current Issuer Ratings: A1 (Stable) / AA (Stable) / AA- (Stable) │ (Moody's / S&P / Fitch)
  • Expected Issue Ratings: A1 (Stable) / AA (Stable) / AA- (Stable) │ (Moody's / S&P / Fitch)
  • Format: Senior Unsecured Notes
  • Settlement: 14-Sep-26 (T+3)
  • Size:
    • 3-year: £1.25bn
    • 6-year: £1bn
    • 12-year: £1bn
    • 19-year: £1bn
  • Maturity:
    • 3-year: 14-Sep-29
    • 6-year: 14-Sep-32
    • 12-year: 14-Sep-38
    • 19-year: 14-Sep-45
  • Coupon:
    • 3-year: Fixed, Semiannual, ACT/ACT (ICMA)
    • 6-year: Fixed, Semiannual, ACT/ACT (ICMA)
    • 12-year: Fixed, Semiannual, ACT/ACT (ICMA)
    • 19-year: Fixed, Semiannual, ACT/ACT (ICMA)
  • MWC:
    • 3-year: Yes
    • 6-year: Yes
    • 12-year: Yes
    • 19-year: Yes
  • Gilt Reference:
    • 3-year: UKT 4 1/8 22-Jul-29
    • 6-year: UKT 4 1/4 07-Jun-32
    • 12-year: UKT 3 3/4 29-Jan-38
    • 19-year: UKT 3 1/2 22-Jan-45
  • Par Call:
    • 3-year: Yes, 1-month
    • 6-year: Yes, 2-months
    • 12-year: Yes, 3-months
    • 19-year: Yes, 6-months
  • ISIN / Common Code:
    • 3-year: XS3504677348 / 350467734
    • 6-year: XS3504677694 / 350467769
    • 12-year: XS3504677777 / 350467777
    • 19-year: XS3504677934 / 350467793
  • B&D:
    • 3-year: J.P. Morgan
    • 6-year: J.P. Morgan
    • 12-year: J.P. Morgan
    • 19-year: J.P. Morgan
  • Docs: SEC Registered / Nasdaq Bond Exchange Listing / New York Law
  • Clearing: Euroclear and Clearstream
  • Denominations: £100,000 x £1,000
  • Selling Restrictions: As per Amazon.com, Inc.'s Preliminary Prospectus Supplement
  • UoP: The net proceeds from the sale of the notes will be used for general corporate purposes, which may include, but are not limited to, repayment of debt, acquisitions, investments, working capital, investments in its subsidiaries, capital expenditures, and repurchases of outstanding shares of its common stock
  • Marketing: eRed
  • Sales into Canada: Yes, via exemption
  • Sales into Japan: Yes, via exemption
  • Stabilization: FCA/ICMA
  • Target Market: MiFID II and UK MiFIR professionals / ECPs-only / No PRIIPs KID or DISC DISCLOSURE DOCUMENT
  • Joint Book-Running Managers: Barclays / HSBC / J.P. Morgan / NatWest
  • Timing: Today's business
  • Books Close: 1pm UKT