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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 ThriftsTwo weeks that ended May 9
Published May 13, 2008

Issuer Issue date Principal in millions Type of security Offer price Yield at maturity Maturity Ratings* Bookrunner(s)
Fitch Moody's
KeyCorp 5/7 $750 senior medium-term notes 99.588% 6.598% 5/14/13 A A2 Citigroup,
Credit Suisse,
Key Banc Investment,
UBS Investment Bank
Citigroup Inc. 5/5 3,000 global notes 99.645 6.173 5/15/18 AA- Aa3 Citigroup
Citigroup Inc. 5/6 550 senior floating notes 100 floats 5/15/18 AA- Aa3 Citigroup Inc.
Bank of America Corp. 5/5 1,000 senior notes 100 floats 5/12/10 AA Aa2 Banc of America Securities
Bank of America Corp. 5/5 1,700 senior notes 100 floats 5/12/10 AA Aa2 Banc of America Securities
Key Bank USA NA 5/1 300 subordinated bank notes 100.55 7.311 5/6/15 A- A1 Credit Suisse,
Citigroup,
UBS Investment Bank
Bank of America Corp. 4/29 2,000 senior medium-term notes 99.724 4.963 5/1/13 AA Aa2 Banc of America Securities
Bank of America Corp. 4/29 4,000 senior medium-term notes 99.465 5.721 5/1/18 AA Aa2 Banc of America Securities

*For CDs, long-term bank deposits, domestic currency
Sources: Thomson Financial, Moody's Investors Service, Fitch Inc.
© 2008 American Banker

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