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Asset-Backed European Securitisation Transaction Seven S.r.l. Bonds, FRN 10dec2026, EUR (FIGI BBG0032NQB98, IT0004821713)

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Domestic bonds, Variable rate, Securitization, Mortgage bonds, Secured

Status
Early redeemed
Amount
314,400,000 EUR
Placement
***
Early redemption
*** (-)
ACI
Country of risk
Italy
Current coupon
-
Price
Yield / Duration
  • Placement amount
    314,400,000 EUR
  • Outstanding amount
    314,400,000 EUR
  • Face value
    100,000 EUR
  • ISIN
    IT0004821713
  • CFI
    DBVSBB
  • FIGI
    BBG0032NQB98
  • Ticker
    ABEST 7 A

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Prospectus

Trading chart

Stock exchange selection
Stock exchange selection
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No more than two exchanges can be selected for comparison at the same time
Bond is not traded; the issue is redeemed
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Data display in a chart | table
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Issue information

Volume
  • Placement amount
    314,400,000 EUR
  • Outstanding amount
    314,400,000 EUR
Face value
  • Face value
    100,000 EUR
  • Outstanding face value
    *** EUR
  • Increment
    *** EUR
Listing
  • Listing

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  • Evaluate advanced analytical tools
  • Get full online access to the database
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Cash flow parameters

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

Early redemption terms

***

Explore the most comprehensive database

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ETF & Funds

70 000

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Placement

  • Placement method
    Open subscription
  • Placement
    ***
  • Initial issue price (yield)
  • Geographic breakdown
    ***
  • Investor breakdown
    ***
  • Use of proceeds description
    Monies available to the Issuer on the Issue Date consisting of: (i) the net proceeds from the issue of the Class A Notes, being € 313,508,061.55; (ii) the amount to be drawn down by the Issuer under the Subordinated Loan Agreement, in an amount equal to € 18,200,000; and (iii) a portion of the Income Collections credited to the Interest Funds Account from the Portfolio Transfer Effective Date to the Issue Date, in an amount equal to € 100,000, will be applied by the Issuer on the Issue Date: (a) to credit € 100,000 to the Expenses Account; (b) to credit € 5,200,000 to the Cash Reserve Account; (c) to credit € 13,000,000 to the Commingling Reserve Account; (d) to pay FGAC € 313,490,405.75, representing a portion of the purchase price payable by the Issuer to FGAC as consideration for the purchase of the Receivables pursuant to the terms of the Receivables Purchase Agreement; (e) to credit € 17,655.80 (such amount being the difference between the proceeds from the issue of the Notes and the consideration for the purchase of the Receivables pursuant to the terms of the Receivables Purchase Agreement) on the Principal Funds Account.

Conversion and exchange

  • Conversion terms
    ***

Covenants

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Latest issues

Similar issues

Identifiers

  • ISIN
    IT0004821713
  • Cbonds ID
    209097
  • CUSIP
    ***
  • CUSIP 144A
    ***
  • CFI
    DBVSBB
  • FIGI
    BBG0032NQB98
  • Ticker
    ABEST 7 A
  • Type of security by CBR
    ***

Bond classification

  • Secured
  • Coupon bonds
  • Bearer
  • Variable rate
  • Mortgage bonds
  • 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
  • Non-complex financial instruments (MiFID)
  • Perpetual
  • Payment-in-kind
  • Non-Marketable Securities
  • Redemption Linked
  • Restructuring
  • Retail bonds
  • Covered
  • Structured product
  • Commercial Bonds
  • Subordinated
  • Sukuk
  • Trace-eligible
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Restructuring

***

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