International bonds: Israel, 2.375% 18jan2037, EUR
(XS1551294413)

StatusCountry of riskMaturity (option)Amount iIssue ratings (M/S&P/F)
outstandingIsrael**/**/****750,000,000 EUR***/***/***
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Issue information

BorrowerIsrael
Bond typeCoupon bonds
Placement methodOpen subscription
Placement typePublic
Par, integral multiple1,000 EUR
Nominal of international bonds1,000 EUR
Minimum settlement amount100,000 EUR
Outstanding principal amount100,000 EUR
Amount750,000,000 EUR
Outstanding face value amount750,000,000 EUR
Date of end placing**/**/****
Maturity date**/**/****
Other tranchesIsrael, 1.5% 18jan2027, EUR
Floating rateNo
Coupon Rate*.***%
Current coupon rate2.375%
Day count fraction***
ACI*** (05/26/2017)
Coupon frequency1 time(s) per year
Interest commencement date**/**/****
ListingLondon S.E.

Related issues

Cbonds Valuationi

Trading floorDate and timeBid/ ask price (Yield)Indicative price (Yield)T-spread, bp
CBONDS ESTIMATIONi05/25/17-/- (- / -) (-)*.**Archive
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Bond Quotes by Market Participants

Market participantDate and timeBid/ ask price (Yield)
Baader Bank05/25/2017***.**** / ***.**** (*.** / *.**)
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Historic bond trading data

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Stock exchange and OTC quotes

Trading floorDate and timeBid/ ask price (Yield)Indicative price (Yield)T-spread, bp
FRANKFURT S.E.05/25/17-/- (- / -) (-)*.**Archive
STUTTGART EXCHANGE05/25/17-/- (- / -) (-)*.**Archive
GETTEXi05/26/17-/- (- / -) (-)Archive
HI- MTF05/26/17-/- (- / -) (-)Archive
MUNICH SE05/25/17-/- (- / -) (-)*.**Archive
BERLIN EXCHANGEi05/26/17-/- (- / -) (-)Archive
OTHER SOURCES OF PRICESi05/24/17-/- (- / -) (-)*.**Archive
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Bond classification

Subordinated
Amortizing
Perpetual
Convertible
Structured product
Restructuring
Securitization
MBS
Covered
Foreign bonds
CDO
Sukuk
Retail bonds
Supranational bond issues
Green bonds
Non-market issues

Codes

ISIN RegSXS1551294413
Common Code RegS155129441
FIGIBBG00FQTJ076
WKN codeA19BUY
TickerISRAEL 2.375 01/18/37 EMTn

Primary placement

Issuer rating on issue date (M/S&P/F)***/***/***
Placement**/**/****
Initial issue price (yield)**.**% ( - )

Participants

Bookrunner: Bank of America Merrill Lynch, Barclays, Citigroup
Arranger Legal Adviser (International law): Linklaters
Issuer Legal Adviser (International law): Clifford Chance
Paying agent: Citibank N.A. (London branch)

Payment schedule

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Coupon dateActual Payment DateCoupon, %Coupon size, EURRedemption of principal, EUR
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Issue ratings

Israel, 2.375% 18jan2037, EUR

Rating AgencyRating / ForecastScaleDate
Fitch Ratings***/***LT Int. Scale (foreign curr.)04/26/2017
Moody's Investors Service***/***LT- foreign currency01/12/2017
S&P Global Ratings***/***Foreign Currency LT01/13/2017
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Issuer ratings

Israel

Rating AgencyRating / ForecastScaleDate
Dagong Credit***/***International scale rating (foreign curr.)11/11/2016
Dagong Credit***/***International scale rating (local curr.)11/11/2016
Fitch Ratings***/***LT Int. Scale (foreign curr.)04/26/2017
Fitch Ratings***/***LT Int. Scale (local curr.)04/26/2017
Moody's Investors Service***/***LT- local currency08/11/2016
Moody's Investors Service***/***LT- foreign currency08/11/2016
National Rating Agency***/***Global scale09/30/2016
Organisation for Economic Co-operation and Development (OECD)***/***Country Risk Classifications06/27/2014
S&P Global Ratings***/***Foreign Currency LT09/09/2011
S&P Global Ratings***/***Local Currency LT05/02/2013
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