Tranche 1: $1.25bn global
Maturity: 13 March 2009
Issue price: 100.00
Coupon: three month Libor plus 43bp
Amount: $1.25bn global
Maturity: 15 March 2011
Issue price: 99.85
Spread at re-offer: 115bp over the 4.5% February 2011 UST
Launch date: Wednesday 7 March
Payment date: 14 March
Joint books: Bank of America, Deutsche Bank, JP Morgan
Market appraisal:"...this ...
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