BBVA Hipotecario 3 Fondo de Titulización de Activos

Basic information

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Type File
Offering Circular
Deed

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Year File
2016 Report
2015 Report
2014 Report
2013 Report
Constitution date 06.13.2005
Early Liquidation 05.23.2016
Securitised assets Residential mortgage loans (PTCs)
Originator BBVA
Bond Issue
Total issue amount 1,450,000,000 EUR
Issue date 06.16.2005
Rating agencies Fitch
Moody´s
S&P
Lead Managers BBVA
JP Morgan
Underwriters & Placement Agents BBVA
JP Morgan
Banco Cooperativo Español
Caixa Catalunya
Calyon
CSFB
Dresdner Kleinwort Wasserstein
Société Générale
Wasserstein
Bond Paying Agent Société Générale
Series A1 Amortised
Issue amount 449,500,000 EUR
Interest Rate Index 3-M Euribor
Margin +0.05%
Rating Fitch AAAsf
Rating Moody´s Aaa (sf)
Rating S&P AAA (sf)
Series A2 Amortised
Issue amount 925,700,000 EUR
Interest Rate Index 3-M Euribor
Margin +0.17%
Rating Fitch AA+sf
Rating Moody´s Aa2 (sf)
Rating S&P AA (sf)
Series B Amortised
Issue amount 55,900,000 EUR
Interest Rate Index 3-M Euribor
Margin +0.32%
Rating Fitch AA+sf
Rating Moody´s Aa2 (sf)
Rating S&P AA- (sf)
Series C Amortised
Issue amount 18,900,000 EUR
Interest Rate Index 3-M Euribor
Margin +0.60%
Rating Fitch A-sf
Rating Moody´s A1 (sf)
Rating S&P BBB+ (sf)
Treasury Account Société Générale
Financial Structuring BBVA
JP Morgan
EdT
Legal Adviser Uría Menéndez
Securitised Assets Auditor Deloitte
Fund Auditors Deloitte
Ernst & Young
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