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Commentary & Deal Flow

ALLOCATIONS OUT: Nuveen £550m 5yr Sr Unsec; G+125bp

IGC European Market: Deal Flow - General

Issuer

Term

Maturity

Size

Ranking

Type

IPT

Spread Set

Nuveen

5yr

25-Sep-31

£550m

Sr Unsec

Fixed

UKT+145a

G+125


Final Books: Books over £1.40bn at Final Terms. Peak book over £1.55bn

Launched: 5yr: £550m @ G+125bp - Books over £1.55bn

IPTs: 5yr: UKT+145a


  • Issuer: Nuveen, LLC (“TIAAGL”)
  • LEI: 254900QRUA8YY8I7VT73
  • Expected Ratings: Baa1/A (Moody's/S&P)
  • Format: 144A / Reg S
  • Ranking: Senior Unsecured
  • Tenor: 5-year
  • Size: £550m
  • Benchmark: UKT 0.250% Jul-31 (114% HR)
  • Hedge Deadline: All hedges to BNPP by 13:20
  • Coupon Type: Fixed, Annual, ACT/ACT (ICMA)
  • Settlement Date: 25-Sep-26 (T+3)
  • Maturity Date: 25-Sep-31
  • Optional Redemption: 1-month par call, MWC
  • Global Coordinator: BNPP
  • Bookrunners: BNPP (B&D), BofA, JPM
  • Use of Proceeds: Nuveen intends to use the net proceeds from the issuance of the Notes for general corporate purposes, which may include, among other things, to fund a portion of the cash consideration for the Acquisition and pay fees and expenses related to the Acquisition and to this offering
  • Denominations: £100,000 x £1,000
  • Marketing: Link:https://dealroadshow.finsight.com| Entry Code: NUVEEN2026 Direct Link:https://dealroadshow.finsight.com/e/NUVEEN2026
  • Expected Listing: The International Stock Exchange (TISE)
  • Governing Law: State of New York
  • Target Market: MiFID II/UK MiFIR Eligible counterparties and professional clients only (all distribution channels). No sales to EEA or UK retail. No EU PRIIPs or UK CCI product summary will be prepared.
  • Sale into Canada: Yes – Pursuant to Exemption
  • ISIN: 144a: XS3520575500. Reg S: XS3520575096
  • Common Code: 144a: 352057550. Reg S: 352057509
  • Schedule: Books to close at 12:30 UKT
  • Timing: Today's business