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Commentary & Deal Flow

PRICED: European Union €11bn Long 3yr & 30yr Sr Unsec; EU+6 & EU+3

IGC European Market: Deal Flow - SSA

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


  • Issuer: European Union (EU)
  • LEI: 529900FZRK8FGMPEOM08
  • Ratings: AAA/st (Fitch) / Aaa/st (Moody's) / AA+/st (S&P) / AAA/st (Scope)
  • Risk Weighting: 0%
  • Format & Type: Reg S (Category 1) Bearer (TEFRA Rules apply, no communications with or into the US or Canada (excluding Ontario)), NGN
  • Trade Date: 15-Sep-26
  • Settlement: 22-Sep-26 (T+5)
  • Tranche:
    • Long 3yr: NEW Mar-2030
    • 30yr: NEW Oct-2056
  • Maturity:
    • Long 3yr: 12-Mar-30
    • 30yr: 12-Oct-56
  • Tranche Size:
    • Long 3yr: €6bn
    • 30yr: €5bn
  • Coupon:
    • Long 3yr: 3.375%, Fixed, short first Ann, ACT/ACT ICMA
    • 30yr: 4.5%, fixed, long first Ann, ACT/ACT ICMA
  • Reoffer:
    • Long 3yr: EU 2.375% 12-Jul-29 + 6bp
    • 30yr: EU 4.000% 12-Oct-55 + 3bp
  • Price/yield:
    • Long 3yr: 99.629 price / 3.495%
    • 30yr: 99.329 price / 4.541% yield
  • EU ref:
    • Long 3yr: EU 2.375% 12-Jul-29 spot @ 97.195; HR 124%
    • 30yr: EU 4.000% 12-Oct-55 spot @ 91.81; HR 107%
  • Bund ref:
    • Long 3yr: OBL 2.5 11-Oct-29 + 22.6bp / OBL spot @ 99.788
    • 30yr: DBR 2.9 15-Aug-56 + 64.7bp / DBR spot @ 82.618
  • ISIN:
    • Long 3yr: EU000A4E0858
    • 30yr: EU000A4E0866
  • Denoms: €1
  • Listing: Luxembourg Stock Exchange’s Regulated Market
  • Law: Luxembourg
  • Docs: In accordance with the Issuer's Debt Issuance Programme
  • JLMs: Barclays, Citi, Credit Agricole CIB, DZ Bank and J.P. Morgan (DM/B&D)
  • Target Market: The target market for the Bonds is professionals, retail and eligible counterparties (all channels for distribution), each as defined in MIFID II/UK MiFIR
  • Timing: PRICED. TOE NEW Mar-2030: 14:58 CET. TOE NEW Oct-2055: 14:58 CET. FTT: Immediately for both tranches
  • Schedule: Books open, Today's business
  • Hedge Ratio:
    • Long 3yr: 124% vs EU 2.375% 12-Jul-29 (EU000A4ENP68)
    • 30yr: 107% vs EU 4% 12-Oct-55 (EU000A4EG039)
  • Hedge Deadline: 13:45 UKT / 14:45 CET