New bond issue: Goldman Sachs International issued international bonds for MXN 800.0m maturing in 2020 with a 6.25% coupon.

March 20, 2017 - Cbonds

 

Goldman Sachs International issued international bonds for MXN 800.0m maturing in 2020 with a 6.25% coupon. Bonds were sold at a price of 100% with an initial yield of 6.25%. Bookrunner: Goldman Sachs
Depository: Euroclear Bank, Clearstream Banking S.A..
Share:
Issuer, issue numberGoldman Sachs International, 6.25% 17mar2020, MXN
Type of debt instrumentInternational bonds
Issue statusoutstanding
Type of placementPublic
Par, currency of issueMXN 25,000
Amount800,000,000
ISINXS1505106192
End of placement03/17/2017
Initial issue price100
Yield at pricing6.25
Coupon6.25%
Coupon frequency1 time(s) per year
Settlement date03/17/2017
Maturity date03/17/2020
Issue ManagersBookrunner: Goldman Sachs Depository: Euroclear Bank, Clearstream Banking S.A.
Trading floorLuxembourg S.E.
Issuer: Goldman Sachs International
Outstanding issues:
52 issuesRUR8,763,242,500
182 issuesUSD1,992,995,000
20 issuesEUR790,573,000
1 issuesCHF60,000,000
1 issuesSEK300,000,000
3 issuesZAR1,200,000,000
1 issuesAUD50,000,000
2 issuesHKD550,000,000
2 issuesMXN3,050,000,000
4 issuesCNY700,000,000
3 issuesKRW100,000,000,000
1 issuesNZD50,000,000
Issuer rating:
Moody's Investors ServiceA1/StableLT- foreign currency02/23/2017
S&P Global RatingsA/Foreign Currency LT11/02/2015
S&P Global RatingsA/Local Currency LT11/02/2015
Fitch RatingsA/StableLT Int. Scale (foreign curr.)12/13/2016