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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
Two weeks ended November 11
Published November 18, 2005
Issuer Issue date Prinicpal in millions Type of security Offer price Yield at maturity Maturity Ratings Bookrunner(s)
Fitch Moody's*
Zions Bancorp. 11/9 $600 subordinated notes 99.19% 5.61% 11/16/2015 A- NA Lehman Brothers
BB&T Trust Co. 11/8 250 floating-rate bank notes 100 floats 5/16/2007 A+ A1 Credit Suisse First Boston Securities; BB&T
BB&T Trust Co. 11/8 500 floating-rate bank notes 100 floats 11/16/2007 A+ A1 Credit Suisse First Boston Securities;BB&T
Washington Mutual 11/8 1,500 floating-rate notes 100 floats 11/16/2007 A A3 Deutsche Bank Securities;Merrill Lynch
First Tennessee Bank 11/7 50 bank notes 100 floats 12/17/2009 A A1 Credit Suisse First Boston Securities

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

Sources: Thomson Financial, Moody's Investors Service, Fitch Ratings
© 2005 American Banker
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