The Collaborative Market Data Network -
serving the Public interest of Transparency in Debt Capital Markets
The Collaborative Market Data Network
Serving Transparency in Capital Markets
The Collaborative
Market Data Network

PROLOGIS GBP MULTI TRANCHE CRP BBB FIXED RATE SYNDICATED EURO BOND (XS2810268107, XS2810794680)

Post Date: 24 April 2024

Prologis, L.P. has priced a GBP denominated multi tranche syndicated Euro Bond.

For all the deals placed in the market today use the Bond Market or Money Market Viewers.

Issuer Details
Issuer Prologis LP
LEI GL16H1DHB0QSHP25F723
Industry Diversified REITs
Country United States
Issuer Description ProLogis is a leading provider of distribution facilities and services, with more than 2,300 facilities owned, managed and under development in 76 markets throughout North America, Europe and Asia. By bringing a dramatic new vision to industrial real estate, ProLogis has built the first and largest global network of distribution facilities that enable companies to streamline critical supply chain operations.. Prologis, Inc. (Prologis), formerly AMB Property Corporation, is a real estate investment trust (REIT) and the general partner of the Prologis, L.P. (Operating Partnership). As of December 31, 2011, the REIT owned an approximate 99.55% common general partnership interest in the Operating Partnership and 100% of the preferred units in the Operating Partnership. It operates the REIT and the Operating Partnership as one enterprise. The Company is a global owner, operator and developer of industrial real estate, focused on markets tied to global trade across the Americas, Europe and Asia. It operates in two segments: Real Estate Operations, which includes its Capital Deployment activities, and Private Capital.
Generic Credit Rating [Login to see full details]
Moody's Credit Rating [Login to see full details]
S&P Credit Rating [Login to see full details]
Fitch Credit Rating [Login to see full details]

 

Trade Details
Security Type Bond
Amount GBP [Login to see full details]
Total Amount including taps GBP [Login to see full details]
Total Amount Outstanding GBP [Login to see full details]
Total Order Book GBP [Login to see full details]
Structure Fixed Rate
Coupon [Login to see full details]
Price [Login to see full details]
Reoffer [Login to see full details]
It came at a spread of [Login to see full details] in the Euro bond market.
Term [Login to see full details]
Trade Date [Login to see full details]
Settlement Date [Login to see full details]
Maturity Date [Login to see full details]
Yield Notes [Login to see full details]

Login to see if this deal qualifies as a Green Bond or Social Bond or other type of ESG Bond.

A Euro bond is a bond or other type of negotiable debt instrument issued in the offshore international, also called eurobond, market. The ISIN of a Euro Market bond always starts with XS. It can be denominated in any freely tradeable currency.

Check here for all issuer’s year to date financings.


Continue reading this article?

If you are an Issuer, Dealer (Syndicate/Origination/Trading/Sales) or a Qualified Institutional Investor, a Capital Markets Lawyer or Regulator please try full access.
Register here

Already a subscriber?

Please Sign in