Pemex Project Funding Master Trust - 2007-11-07


Redeemed US$586.9 million of 8.5% notes due 2008, US$455.7 million of 6.125% notes due 2008, US$353 million of 9.375% guaranteed notes due 2008, US$579.8 million of 7.875% notes due 2009 and US$477.6 million of 9.125% notes due 2010. Credit Suisse Securities (USA) LLC and Deutsche Bank Securities Inc. were dealer managers.

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