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
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