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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 May 19
Published May 24, 2006
  Issue
date
Principal
in millions
  Ratings  
Issuer Type of Security Offer
price
Yield at
maturity
Maturity Fitch Moody's* Bookrunner(s)
Comerica Bank 17-May $300 bank notes 99.96% floats 5/24/2011 AA- A1 HSBC Securities
Huntington National Bank 17-May 50 floating-rate CDs 99.98 floats 5/22/2008 A A2 JPMorgan Chase
Huntington National Bank 17-May 50 CDs 99.98 floats 5/22/2008 A A2 JPMorgan Chase
First Tennessee Bank 16-May 55 floating-rate CDs 100 floats 2/14/2011 A A1 Credit Suisse Group
Sovereign Capital Trust V 15-May 160 notes 25 7.75 5/15/1936 BB Ba1 Citigroup; Bear Stearns; JPMorgan Chase
Washington Mutual 15-May 350 subordinated global notes 100 na 5/15/2013 A A3 Barclays Capital; Credit Suisse; Lehman Brothers
Washington Mutual 15-May 600 subordinated global notes 100 floats 5/15/2013 A A3 Barclays Capital; Credit Suisse; Lehman Brothers
Washington Mutual 15-May 300 subordinated global notes 100 na 5/15/1936 A A3 Barclays Capital; Credit Suisse; Lehman Brothers


*For CDs, long-term bank deposits, domestic currency
Sources: Thomson Financial, Moody’s Investors Service, Fitch Inc.
© 2006 American Banker


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