April 14, 2015 | Cbonds
Standard Chartered Plc on April 13, 2015 placed USD 1,250.0m in bonds with a 2.25% coupon, maturing in 2020. The bond was priced at 99.897% to yield 2.272%. Bookrunner: Bank of America Merrill Lynch, BNP Paribas, Deutsche Bank, Standard Chartered Bank arranged the deal.
|Status||Country of risk||Redemption (offer)||Volume||Emission Rating (M/S&P/F)|
|outstanding||United Kingdom||04/17/2020||1,250,000,000 USD||BBB+/A2/A+|
Company: Standard Chartered Plc
|Full company name||Standard Chartered Plc|
|Country of risk||United Kingdom|
|Country of registration||United Kingdom|