Teva returns with USD and EUR multi-tranche issue
09 Mar 2018Tranche A: USD1.25bn, coupon 6.00%, due 15 April 2024. Reoffer 100.00, yield 6.00%.
Tranche B: USD1.25bn, coupon 6.75%, due 01 March 2028. Reoffer 100.00, yield 6.75%.
Tranche C: EUR700m, coupon 3.25%, due 15 April 2022. Reoffer 100.00, yield 3.25%.
Tranche D: EUR900m, coupon 4.50%, due 01 March 2025. Reoffer 100.00, yield 4.50%.
Common terms: USD2.25bn