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Domestic bonds: Asset-Backed European Securitisation Transaction Ten S.r.l, FRN 10jul2029, EUR (ABS) (IT0005125460)

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Variable rate, Securitization, Secured

Status
Early redeemed
Amount
688,000,000 EUR
Placement
***
Early redemption
*** (-)
ACI on
Country of risk
Italy
Current coupon
-
Price
-
Yield / Duration
-
Calculate in two clicks! yield, duration and other parameters
Calculate in two clicks! yield, duration and other parameters
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  • Placement amount
    688,000,000 EUR
  • Outstanding amount
    688,000,000 EUR
  • Face value
    1,000 EUR
  • ISIN
    IT0005125460
  • Common Code
    127295654
  • CFI
    DAVNBB
  • FIGI
    BBG009S5T4M4
  • Ticker
    ABEST 12 A

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Quotes from market participants are indicative

Stock exchange and OTC quotes

Quotes provided by information providers are indicative in nature

Issue information

Volume
  • Placement amount
    688,000,000 EUR
  • Outstanding amount
    688,000,000 EUR
Face value
  • Face value
    1,000 EUR
  • Outstanding face value
    *** EUR
  • Increment
    *** EUR
Listing
  • Listing
    ***

Cash flow parameters

  • Reference rate
  • Coupon Rate
    ***
  • Day count convention
    ***
  • Interest Accrual Date
    ***
  • Coupon frequency
    *** time(s) per year
  • Payment currency
    ***
  • Maturity date
    ***
  • Early redemption date
    ***

Early redemption terms

***

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800 000

bonds globally

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pricing sources

80 000

stocks

9 000

ETF

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Placement

  • Placement method
    Open subscription
  • Placement
    ***
  • Initial issue price (yield)
  • Geographic breakdown
    ***
  • Investor breakdown
    ***
  • The purpose of placing
    Monies available to the Issuer on the Issue Date consisting of: (i) the proceeds from the issue of the Notes, being EUR 800,000,000; (ii) the amount to be drawn down by the Issuer under the Subordinated Loan Agreement, in an amount equal to EUR 39,200,000; and (iii) a portion of the Income Collections transferred from the Collections Account to the Interest Funds Account on the Issue Date, in an amount equal to EUR 13,187,604.24 will be applied by the Issuer on the Issue Date: (a) to credit EUR 100,000 to the Expenses Account; (b) to credit EUR 11,200,000 to the Cash Reserve Account; (c) to credit EUR 28,000,000 to the Commingling Reserve Account; (d) to pay to FCAB EUR 799,998,871.10, representing the purchase price payable by the Issuer to FCAB as consideration for the purchase of the Receivables comprised in the Initial Pool pursuant to the terms of the Master Receivables Purchase Agreement; (e) to credit EUR 1,128.90 (such amount being the difference between the proceeds from the issue of the Notes and the Purchase Price of the Initial Pool pursuant to the terms of the Master Receivables Purchase Agreement) on the Principal Funds Account.
Participants
  • Depository
    ***

Conversion and exchange

  • Conversion terms
    ***

Additional information

Latest issues

Identifiers

  • ISIN
    IT0005125460
  • CUSIP
    ***
  • CUSIP 144A
    ***
  • Common Code
    127295654
  • CFI
    DAVNBB
  • FIGI
    BBG009S5T4M4
  • WKN
    A1VKRP
  • Ticker
    ABEST 12 A
  • Type of security by CBR
    ***

Bond classification

  • Secured
  • Coupon bonds
  • Bearer
  • Variable rate
  • Securitization
  • Amortization
  • Callable
  • CDO
  • Convertible
  • Dual currency bonds
  • For qualified investors (CIS region)
  • Foreign bonds
  • Green bonds
  • Guaranteed
  • Inflation-linked principal
  • Supranational bond issues
  • Inflation-linked coupon
  • Mortgage bonds
  • Perpetual
  • Payment-in-kind
  • Non-Marketable Securities
  • Redemption Linked
  • Restructuring
  • Retail bonds
  • Covered
  • Structured product
  • Commercial Bonds
  • Subordinated
  • Sukuk
  • Trace-eligible

Restructuring

***

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