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Commentary & Deal Flow

PRICED: Sazka EUR300m 7NC3 sr notes 3.875% at 99.24, yield 4.00%

HYC European Market: Deal Flow - General

Emerging Markets: SAZKA Group as EUR300m 144A/Reg S sr notes due 15-Feb-2027 (7y). NC3 (MWC B+50bp), then at 101.938, 100.969, 100. Equity claw: 3y 40% at 108.875. NR/BB-/BB- (--/negative/stable). Via JPM (B&D)/HSBC/SocGen jt glocos and physical books/UniCredit joint books, Erste, J&T Banka as co-managers. No reg rights. List ISE.Setlls Feb 05 (T+5). Reg S ISIN: XS2113253210. Px talk: 4.00%-4.25%.

Priced: 3.875% at 99.250, yield 4.00%. +454bp vs DBR 0.25% 02/15/27.

Roadshow Jan 27-28 (Mon investor call 1pm UKT, Tues London breakfast). Books closed at 3:30pm UKT today. UOP: refinance existing subsidiary debt. Biz: pan-European lottery and sports betting operator with operations in the Czech Republic, Greece, Cyprus, Austria and Italy. HQ: Prague, Czech Republic.