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Commentary & Deal Flow

ALLOCATIONS OUT: Ford Motor Credit Company €750m 3.1yr Sr Unsec; MS+105bp

IGC European Market: Deal Flow - General

Issuer

Term

Maturity

Size

Ranking

Type

ISIN

IPT

Spread Set

Ford Motor Credit Company

3.1yr

29-Oct-29

€750m

Sr Unsec

Fixed

XS3517381383

MS+135/140

MS+105


Allocations out in the system

Launched: 3.1yr: €750m @ MS+105bp - Books subject 12.30 UKT / 13.30 CET
IPTs: 3.1yr: MS+135/140bp


  • Issuer: Ford Motor Credit Company LLC
  • Issuer Ratings (M/S/F): Ba1 (Stable) / BBB- (Negative) / BBB- (Stable) (Moody's/S&P/Fitch)
  • Expected Issue Ratings (M/S/F): Ba1 / BBB- / BBB- (Moody's/S&P/Fitch)
  • Format: SEC Registered EMTN
  • Ranking: Senior Unsecured
  • Size: €750m
  • Tenor: 3.1yr
  • Maturity Date: 29-Oct-29
  • Coupon Type: Fixed; Annual; ACT/ACT (ICMA), short first
  • Optional Redemption: MWC
  • Settlement: 29-Sep-26 (T+4)
  • Denominations: €100k x €1k
  • Use of Proceeds: General corporate purposes
  • Active Bookrunners: CACIB, DB (B&D), JPM, MS, SocGen
  • Documentation: SEC Registered EMTN / NYSE Listing / NY Law
  • Selling Restrictions: See the EMTN Programme Base Prospectus Supplement dated 30-Apr-26
  • Sales Into Canada: No
  • Clearing: Euroclear / Clearstream
  • Target Market: Manufacturer target market (MiFID II and UK MiFIR product governance) is eligible counterparties and professional clients only (all distribution channels). No EEA PRIIPs key information document (KID) or UK CCI product disclosure document required by the FCA Product Disclosure Sourcebook (DISC) has been prepared
  • Stabilization: Relevant stabilization regulations including FCA/ICMA apply
  • LEI: UDSQCVRUX5BONN0VY111
  • ISIN: XS3517381383
  • Books Subject: 12.30 UKT / 13.30 CET
  • Timing: Books open, today’s business
  • HR: 110%
  • Hedge Deadline: 15:05 UKT