Lloyds TSB Group plc

  • 10 Nov 2006
Rating: Aa3/A
Amount: $1bn Yankee
Maturity: perpetual
Issue/re-offer price: 100.00
Coupon: 6.267% until 14 November 2016; three month Libor plus 103.5bp thereafter
Call option: at par from 14 November 2016
Spread at re-offer: 157bp over the 4.875% August 2016 Treasury
Launch date: Tuesday 7 November
Payment date: 14 November
Joint books: Goldman Sachs, Lehman Brothers, Merrill Lynch, ...

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1 Bank of America Merrill Lynch 6,217.19 6 15.22%
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  • Today
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