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by Oleksandr Vynychuk
Sep 15, 2026 8:17 AM ET
Issuer | Term | Coupon | Maturity | Size | Ranking | Type | ISIN | Price | Yield | Guidance | Spread | GDNC-PXD |
|---|---|---|---|---|---|---|---|---|---|---|---|---|
Natixis Pfandbriefbank AG | 3yr | 3.625% | 24-Sep-29 | €250m | CB | Fixed | DE000A5KW3K3 | 99.717 | 3.726% | MS+23a | MS+21 | -2 |
Reoffer: 3yr: MS+21bp / 99.717 / 3.726%
Benchmark: 3yr: OBL#189 2.1 12-Apr-29 @ 97.18 / B+46.7bp / HR 117%
Tranche 1 (3yr): Final books at reoffer over €420m (incl. €75m JLM)
Launched: 3yr: €250m @ MS+21bp - Books in excess of €360m (incl. €75m JLM)
Spread set at: 3yr: MS+21bp
Guidance: 3yr: MS+23a