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New bond issue: Standard Chartered Plc sells USD 250.0m in 2018 bonds with a 3M LIBOR USD + 0.64%

April 14, 2015 | Cbonds

Standard Chartered Plc placed USD 250.0m in bonds with a 3M LIBOR USD + 0.64% maturing in 2018. The bond was priced at 100%. Bookrunner: Bank of America Merrill Lynch, BNP Paribas, Deutsche Bank, Standard Chartered Bank arranged the deal.

Emission: Standard Chartered Plc, FRN 17apr2018, USD

StatusCountry of riskRedemption (offer)VolumeEmission Rating (M/S&P/F)
redeemedUnited Kingdom04/17/2018250,000,000 USDNR/Withdrawn/NR

Company: Standard Chartered Plc

Full company nameStandard Chartered Plc
Country of riskUnited Kingdom
Country of registrationUnited Kingdom


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