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Debt Securities Issuance by Commercial Banks and Thrifts

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Debt Securities Issuance by Commercial Banks and Thrifts

Debt Securities Issuance by Commercial Banks and Thrifts
Week ended Mar. 4
Published March 8, 2005
Issuer Issue date Principal in millions Type of security Offer price Yield at maturity Maturity Moody’s rating* Bookrunner(s)
National City Bank Cleveland 3/1 $500 senior bank notes 100% 4.50% 3/15/2010 aa3 Citigroup
Marshall & Ilsley Corp. 3/2 250 notes 99.723 4.462 3/15/2010 A1 JPMorgan Chase
Wells Fargo & Co. 3/2 1,250 global floating-rate notes 100 floats 3/10/2008 Aa1 Lehman Brothers
JPMorgan Chase
Wells Fargo & Co. 3/2 2,650 global floating-rate notes 100 floats 3/10/2008 Aa1 Lehman Brothers
JPMorgan Chase
Wells Fargo & Co. 3/2 1,100 global notes 99.91 4.157 3/10/2008 Aa1 Lehman Brothers
JPMorgan Chase

*For CDs, long-term bank deposits, domestic currency

Sources: Thomson Financial, Moody's Investors Service

© 2005 American Banker

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