U.S. Bancorp (USB) to issue 20-year callable notes, 5.835% coupon
Rhea-AI Filing Summary
U.S. Bancorp proposes an issuance of callable Senior Medium-Term Notes, fixed at 5.835% per annum with an expected Original Issue Date of June 16, 2026 and an expected maturity on June 16, 2046. The Notes are redeemable at our option on specified quarterly Redemption Dates beginning June 16, 2029. Notes pay annual interest on the 16th of June, are offered in minimum denominations of $1,000, and the per-Note price to public is shown at $1,000 (assumed). An affiliate, U.S. Bancorp Investments, Inc., is participating in distribution and may receive selling commissions up to $40 per $1,000 principal amount.
Positive
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Negative
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Insights
Structurally routine medium-term note offering with standard call mechanics and disclosure of affiliate distribution conflict.
The pricing supplement describes a 20-year fixed-rate debt instrument at 5.835%, callable on specified quarterly Redemption Dates beginning June 16, 2029. The redemption price is stated as 100% of principal plus accrued interest, and notices are delivered to DTC at least five business days before a Redemption Date.
Key legal dependencies include compliance with FINRA Rule 5121 due to affiliate participation and standard payment conventions (30/360 day count; Following business-day rule). Closing mechanics and settlement timing are conditional on final pricing and the final pricing supplement.
A callable fixed-rate note with a long tenor that creates potential reinvestment risk for investors if called.
The Notes pay interest annually on the 16th of June and may be redeemed in whole (not in part) on quarterly Redemption Dates from June 16, 2029 through March 16, 2046. The coupon is 5.835%, and pricing assumes $1,000 per $1,000 principal amount.
Distribution economics disclose selling commissions up to $40 per $1,000, and hedging costs are included in the price to public; secondary market liquidity and pricing will depend on dealer market-making, which affiliates may discontinue at any time.
Key Figures
Key Terms
Redemption Date financial
Business Day Convention financial
FINRA Rule 5121 regulatory
30/360 Day Count Fraction financial
Offering Details
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