CaixaBank Corporates 1, F.T.

Factsheet

Name: CAIXABANK CORPORATES 1, FONDO DE TITULIZACIÓN
VAT Registration No: V16754871
LEI code: 959800TDNP13UW5RVQ38
Issue Amount: € 2.301.500.000,00
Set-up Date: September 2nd 2021
Disbursement date: September 17th 2021
Payment Dates: September 22nd, Yearly
Legal Final Maturity Date: September 22nd 2049
Legal Framework: Law 5/2015 of April 27th; Regulation (EU) 2017/2402

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Bond Characteristics

Class Initial amount Current rating Interest rate ISIN Code
Class A € 2.071.400.000,00 N.A.

0,20%

ES0305605000
Class B € 230.100.000,00 N.A.

0,30%

ES0305605018

 

Unitary face value: € 100.000
Amortization: According to amortization of the Loans (“pass through”).
Subordination: The B class is subordinated respect to class A.

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Official Documentation

- Articles of Association

- Information Memorandum

- Agreements

- COMPLIANCE OF THE RISK RETENTION COMMITMENT:

Seller notification

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