BBVA Leasing 1 Fondo de Titulización de Activos

Basic information

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Type File
Offering Circular
Deed

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Year File
2023 Report
2022 Report
2021 Report
2020 Report
Constitution date 06.25.2007
Securitised assets Finance lease receivables
Originator BBVA
Bond Issue
Total issue amount 2,500,000,000 EUR
Issue date 06.29.2007
Rating agencies Fitch
Moody´s
Lead Managers BBVA
BNP Paribas
RBS
Société Générale
Bond Underwriters and Placement Agents BBVA
BNP Paribas
RBS
Société Générale
Bancaja
Calyon
Danske Bank
HSBC
Bond Paying Agent Société Générale
Series A1 Amortised
Issue amount 750,000,000 EUR
Interest Rate Index 3-M Euribor
Margin +0.15%
Rating Fitch BBBsf
Rating Moody´s Aa2 (sf)
Series A2 Amortised
Issue amount 1,606,200,000 EUR
Interest Rate Index 3-M Euribor
Margin +0.20%
Rating Fitch A-sf
Rating Moody´s Aa2 (sf)
Series B Amortised
Issue amount 82,500,000 EUR
Interest Rate Index 3-M Euribor
Margin +0.41%
Rating Fitch A-sf
Rating Moody´s Baa2 (sf)
Series C
Issue amount 61,300,000 EUR
Interest Rate Index 3-M Euribor
Margin +0.80%
Rating Fitch No rated
Rating Moody´s No rated
Treasury Account BBVA
Financial Swap BBVA
Financial Structuring BBVA
EdT
Legal Adviser Cuatrecasas
Securitised Assets Auditor Deloitte
Fund Auditor KPMG Auditores
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