BBVA Consumer 2025-1 Fondo de Titulización
Basic information| Constitution date | 05.26.2025 |
| Securitised assets | Consumer loans to individuals |
| Originator | BBVA |
| Bond Issue | |
| Total issue amount | 2,371,100,000.00 EUR |
| Issue date | 05.26.2025 |
| Rating agencies | Moody´s |
| DBRS | |
| STS Verificator | PCS |
| Lead Managers | BBVA |
| BNP Paribas | |
| Bond Paying Agent | BBVA |
| Series A | |
| Issue amount | 2,021,000,000 EUR |
| Interest Rate Index | Euribor 3M |
| Margin | +0.73% |
| Rating DBRS | AA (sf) |
| Rating Moody´s | Aa1 (sf) |
| Series B | |
| Issue amount | 88,100,000 EUR |
| Interest Rate Index | Euribor 3M |
| Margin | +1.20% |
| Rating DBRS | A (sf) |
| Rating Moody´s | A2 (sf) |
| Series C | |
| Issue amount | 88,300,000 EUR |
| Interest Rate Index | Euribor 3M |
| Margin | +1.50% |
| Rating DBRS | BBB (high) (sf) |
| Rating Moody´s | Baa1 (sf) |
| Series D | |
| Issue amount | 70,400,000 EUR |
| Interest Rate Index | Euribor 3M |
| Margin | +3.15% |
| Rating DBRS | BB (high) (sf) |
| Rating Moody´s | Ba1 (sf) |
| Series E | |
| Issue amount | 82,200,000 EUR |
| Interest Rate Index | Euribor 3M |
| Margin | +6% |
| Rating DBRS | No rated |
| Rating Moody´s | No rated |
| Series Z | |
| Issue amount | 21,100,000 EUR |
| Interest Rate Index | Euribor 3M |
| Margin | +5% |
| Rating DBRS | B (sf) |
| Rating Moody´s | B3 (sf) |
| Treasury Account | BBVA |
| Financial Swap | BBVA |
| Financial Structuring | BBVA |
| Legal Adviser | Garrigues |
| Securitised Assets Auditor | Deloitte |
| Fund Auditor | KPMG Auditores |

