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Commentary & Deal Flow

Related Parents

Related Issuers

LAUNCHED: KBC Bank NV €1bn 3yr & 7yr CB; MS+13bp & MS+30bp

IGC European Market: Deal Flow - General

Issuer

Term

Maturity

Size

Ranking

Type

Guidance

Spread Set

KBC Bank NV

3yr

01-Oct-29

€500m

CB

Fixed

MS+17a

MS+13

KBC Bank NV

7yr

29-Sep-33

€500m

CB

Fixed

MS+34a

MS+30


Launched:
3yr: €500m @ MS+13bp - Combined books > €1.7bn evenly split (incl. €375m JLMs)
7yr: €500m @ MS+30bp - Combined books > €1.7bn evenly split (incl. €375m JLMs)
Guidance: 3yr: MS+17a 7yr: MS+34a


  • Issuer: KBC Bank NV
  • LEI Issuer: 6B2PBRV1FCJDMR45RZ53
  • Issuer Ratings: A+ / A2 / AA- (Pos / St / St) (S&P/Moody's/Fitch)
  • Expected Issue Ratings: Aaa (stable) by Moody's and AAA (stable) by Fitch
  • Format: Belgian Covered Bonds (Belgische pandbrieven/lettres de gage belges) / European covered bonds (premium)
  • Settlement: 29-Sep-26 (T+5)
  • Coupon: Fixed, annual, Act/Act (ICMA)
  • First Coupon Date: 29-Sep-27
  • Maturity Date:
    • 3yr: 1-Oct-29 (soft bullet)
    • 7yr: 29-Sep-33 (soft bullet)
  • Extended Maturity Date:
    • 3yr: 1-Oct-30
    • 7yr: 29-Sep-34
  • Size:
    • 3yr: €500m
    • 7yr: €500m
  • Form of Notes: Dematerialised Covered Bonds
  • Target Market: Eligible counterparties and professional investors only (all distribution channels)
  • Fees: The Banks will be paid a fee by the Issuer in respect of the placement of the securities
  • Listing: Euronext Brussels
  • Documentation: Issuer's Euro 17,500,000,000 Residential Mortgage Covered Bonds Programme
  • Denomination: €100,000 + €100,000
  • Governing Law: Belgian law
  • Clearing: National Bank of Belgium / Securities Settlement System (X/N) The Dematerialised Covered Bonds offered by the Issuer may only be subscribed, purchased or held by investors in an exempt securities account (X-Account).
  • Joint Bookrunners: BayernLB / DZ Bank / Erste Group / ING / KBC Bank / Natixis / Santander (B&D) / UBS
  • Timing: Books to close 11:15 UKT / 12:15 CET
  • Advertisement: The Base Prospectus, any supplements thereto, and the Final Terms used herein have the meaning as given to them in the Terms and Conditions applicable to the Covered Bonds as included in the Base Prospectus dated 29-Jun-26 for the KBC Residential Mortgage Covered Bonds Programme. Terms (when published) are available at https://www.kbc.com/nl/investor-relations/schulduitgiften/kbc-bank/kbc-bank-residential-mortgage-covered-bonds-programme.html