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by Oleksandr Vynychuk
Sep 15, 2026 9:22 AM ET
Issuer | Term | Coupon | Maturity | Size | Ranking | Type | Price | Yield | Guidance | Spread | GDNC-PXD |
|---|---|---|---|---|---|---|---|---|---|---|---|
European Union | Long 3yr | 3.375% | 12-Mar-30 | €6bn | Sr Unsec | Fixed | 99.629 | 3.495% | EU+8a | EU+6 | -2 |
European Union | 30yr | 4.5% | 12-Oct-56 | €5bn | Sr Unsec | Fixed | 99.329 | 4.541% | EU+5a | EU+3 | -2 |
Reoffer: Long 3yr: EU+6bp / 99.629 / 3.495% 30yr: EU+3bp / 99.329 / 4.541%
EU ref: Long 3yr: EU 2.375% 12-Jul-29 @ 97.195 / HR 124% 30yr: EU 4.000% 12-Oct-55 @ 91.81 / HR 107%
Bund ref: Long 3yr: OBL 2.5 11-Oct-29 @ 99.788 / B+22.6bp 30yr: DBR 2.9 15-Aug-56 @ 82.618 / B+64.7bp
Tranche 1 (Long 3yr): Final books > €72bn (incl. €6.25bn JLM)
Tranche 2 (30yr): Final books > €80bn (incl. €3.2bn JLM)
Launched:
Long 3yr: €6bn @ EU+6bp - Books > €59bn (incl. €6.25bn JLM)
30yr: €5bn @ EU+3bp - Books > €70bn (incl. €3.2bn JLM)
Guidance: Long 3yr: EU+8a 30yr: EU+5a