Maturity: 3 January 2017
Issue/re-offer price: 99.659
Spread at re-offer: 103bp over US Treasuries
Launch date: Tuesday 17 October
Payment date: 24 October
Sole mgr: Lehman Brothers
Bookrunner's comment:This is 10 year subordinated debt. It started out as $1bn and ended up $1.25bn. This is the first time we have had ...
Please take a trial or subscribe to access this content.
Contact our subscriptions team to discuss your access: firstname.lastname@example.org