New bond issue: Bank of New York Mellon issued bonds (US06406RAN70) with a 1.6% coupon for USD 1,250.0m maturing in 2025
April 21, 2020
April 17, 2020 Bank of New York Mellon issued bonds (US06406RAN70) with a 1.6% coupon for USD 1,250.0m maturing in 2025. Bonds were sold at a price of 99.962% with an initial yield of 1.608%. Bookrunner: Citigroup, Goldman Sachs, JP Morgan, Bank of New York Mellon.. |
Issue — BNY Mellon, 1.6% 24apr2025, USD
-
Statusoutstanding
-
Country of riskUSA
-
Redemption (put/call option)
*** (*** ) -
Amount1,250,000,000 USD
-
М/S&P/F— / — / —
Company — Bank of New York Mellon
-
Full nameThe Bank of New York Mellon
-
Registration countryUSA
-
IndustryBanks
Share