BBVA-7 FTGENCAT Fondo de Titulización de Activos

Basic information

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Type File
Offering Circular

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Year File
2015 Report
2014 Report
2013 Report
2012 Report
No information available at this time
Constitution date 02.11.2008
Early Liquidation 04.21.2015
Securitised assets SME Loans
Originator BBVA
Bond Issue
Total issue amount 250,000,000 EUR
Issue date 02.14.2008
Rating agencies S&P
Lead Manager and Suscriber BBVA
Bond Paying Agent BBVA
Series A1 Amortised
Issue amount 112,000,000 EUR
Interest Rate Index 3-M Euribor
Margin +0.20%
Rating S&P AA+ (sf)
Series A2G Amortised
Issue amount 112,300,000 EUR
Interest Rate Index 3-M Euribor
Margin +0.10%
Guarantee Spanish State
Rating S&P BBB- (sf)
Series B Amortised
Issue amount 11,900,000 EUR
Interest Rate Index 3-M Euribor
Margin +0.35%
Rating S&P BBB (sf)
Series C Amortised
Issue amount 13,800,000 EUR
Interest Rate Index 3-M Euribor
Margin +0.85%
Rating S&P D (sf)
Treasury Account BBVA
Financial Structuring BBVA
EdT
Legal Adviser Cuatrecasas
Securitised Assets Auditor Deloitte
Fund Auditors Deloitte
Ernst & Young
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