BNY Mellon prices $1.2B 2030 senior notes
BNY Mellon is issuing $1,200,000,000 of Senior Medium‑Term Notes, Series J, 4.755% fixed rate/floating rate callable senior notes due 2030.
Rhea-AI Filing Summary
BNY Mellon is issuing $1,200,000,000 of Senior Medium‑Term Notes, Series J, 4.755% fixed rate/floating rate callable senior notes due 2030. The notes are priced at 100.000% of principal, generating net proceeds to the issuer of $1,198,200,000 before estimated expenses of $255,000. Underwriting commission is 0.150%.
The notes pay a fixed interest rate of 4.755% per annum on a 30/360 basis from August 12, 2026 to but excluding August 12, 2029, with semi‑annual payments each February 12 and August 12. Thereafter, they pay a floating rate of Compounded SOFR + 68.3 bps on an Actual/360 basis, subject to a 0% minimum rate, with quarterly payments until maturity on August 12, 2030. The notes are callable as described and are issued in book‑entry form in minimum denominations of $2,000. Distribution is through multiple agents purchasing as principals, with settlement expected on a T+5 basis and jurisdictional selling restrictions in the UK and Singapore.
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Offering Details
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