Constitution date |
12.09.2013 |
Early Liquidation |
03.30.2022 |
Securitised assets |
Residential mortgage loans (PTCs/MCs) |
Originator |
BBVA |
Bond Issue |
|
Total issue amount |
4,350,000,000 EUR |
Issue date |
12.11.2013 |
Rating agencies |
DBRS |
|
S&P |
Lead Manager and Suscriber |
BBVA |
Bond Paying Agent |
BBVA |
Series A |
|
Issue amount |
3,610,500,000 EUR |
Interest Rate Index |
3-M Euribor |
Margin |
+0.30% |
Rating DBRS |
AA (sf) |
Rating S&P |
A- (sf) |
Series B |
|
Issue amount |
739,500,000 EUR |
Interest Rate Index |
3-M Euribor |
Margin |
+0.40% |
Rating DBRS |
BBB (high) (sf) |
Rating S&P |
A- (sf) |
Treasury Account |
BBVA |
Financial Structuring |
BBVA |
|
EdT |
Legal Adviser |
Garrigues |
Securitised Assets Auditor |
Deloitte |
Fund Auditor |
KPMG Auditores |