2009 Offering
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Issue Date: July 23, 2009

International Bonds

2009 Offering

Última actualización 7 jul. 2015

Offering Summary:

  • Issue Date: July 23, 2009
  • Outstanding: US$1.5 billion
  • Coupon Rate: 7.625%
  • Issue Price: 99.642%
  • Spread to Benchmark U.S. Treasury Bond: 50 basis points
  • Interest Payment Dates: July 23rd and January 23rd of each year, beginning on January 23rd, 2010
  • Maturity Date: July 23, 2019
  • Denomination and Multiples: US$1,000 / US$1,000

Ratings:
 

  • Moody´s: Baa2 / Stable
  • Standard & Poor´s: BBB / Stable
  • Fitch International: BBB- / Positive

Prospectus

Contact Information:

The Bank of New York Mellon

212-815-5537
101 Barclay Street 
New York, 10286