: Allied Irish Banks sells EUR 500.0m in 2020 bonds with a 1.375% coupon March 10, 2015 - Cbonds
Allied Irish Banks on March 09, 2015 placed EUR 500.0m in bonds with a 1.375% coupon, maturing in 2020. . Share: Issuer, issue number Allied Irish Banks, 1.375% 16mar2020 Type of debt instrument International bonds Issue status outstanding Type of placement Public Par, currency of issue EUR 100,000
Amount500,000,000 ISIN XS1202664386§ End of placement 03/09/2015
Coupon 1.375%§ Coupon frequency 1 time(s) per year Settlement date 03/16/2015 Maturity date 03/16/2020 Issue Managers Bookrunner: Bank of America Merrill Lynch, Deutsche Bank, HSBC, Morgan Stanley, Nomura Securities Trading floor Irish S.E. Issuer: Allied Irish Banks Outstanding issues: 4 issues EUR 3,500,000,000
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