M&A

Debt Securities Issuance by Commercial Banks and Thrifts

View Table
Printer Friendly Version
Debt Securities Issuance by Commercial Banks and Thrifts

Debt Securities Issuance by Commercial Banks and Thrifts
Two weeks ended Feb. 17
Published February 22, 2006
Issuer Issue date Principal in millions Type of security Offer price Yield at maturity Maturity Ratings Bookrunner(s)
Fitch Moody's*
National City Bank Cleveland 2/8 $125 floating-rate bank notes 100% floats 2/13/2008 AA- Aa3 Goldman Sachs
National City Corp. Ohio 2/8 50 bank notes 100 floats 2/13/2008 AA- A1 JPMorgan Chase
National City Corp. Ohio 2/8 295 bank notes 100 floats 2/13/2008 AA- A1 HSBC Securities
National City Corp. Ohio 2/8 100 bank notes 100 floats 2/13/2009 AA- A1 HSBC Securities
Citigroup Inc. 2/7 2,000 global notes 99.969 5.13% 2/14/2011 AA+ Aa1 Citigroup
Comerica Bank 2/6 300 floating-rate CDs 100 floats 2/8/2008 A+ A1 Goldman Sachs

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

Sources: Thomson Financial, Moody’s Investors Service, Fitch Inc.

© 2006 American Banker
M&A