Obligation BNY Mellon Corp 2.45% ( US06406HDF38 ) en USD

Société émettrice BNY Mellon Corp
Prix sur le marché 100 %  ▼ 
Pays  Etas-Unis
Code ISIN  US06406HDF38 ( en USD )
Coupon 2.45% par an ( paiement semestriel )
Echéance 26/11/2020 - Obligation échue



Prospectus brochure de l'obligation Bank of New York Mellon Corp US06406HDF38 en USD 2.45%, échue


Montant Minimal 1 000 USD
Montant de l'émission 800 000 000 USD
Cusip 06406HDF3
Notation Standard & Poor's ( S&P ) A ( Qualité moyenne supérieure )
Notation Moody's NR
Description détaillée Bank of New York Mellon Corp. est une société de services financiers américaine offrant des services de gestion d'actifs, de garde et de traitement des paiements à des institutions financières, des entreprises et des particuliers à l'échelle mondiale.

L'obligation US06406HDF38 émise par Bank of New York Mellon Corp aux États-Unis, d'une valeur nominale de 800 000 000 USD, avec un coupon de 2,45%, échéant le 26/11/2020, a été remboursée à son prix nominal de 100%, avec une fréquence de paiement semestrielle, et était négociable par tranche de 1 000 USD, bénéficiant d'une notation A de Standard & Poor's et sans notation de Moody's.







Fixed Rate Senior Notes
https://www.sec.gov/Archives/edgar/data/1390777/000119312515382...
FWP 1 d55615dfwp.htm FIXED RATE SENIOR NOTES
Filed pursuant to Rule 433
Registration Statement No.: 333-189568
THE BANK OF NEW YORK MELLON CORPORATION
$800,000,000 2.450% SENIOR NOTES DUE 2020
NOVEMBER 19, 2015
ISSUER: THE BANK OF NEW YORK MELLON CORPORATION
SECURITIES: SENIOR MEDIUM-TERM NOTES, SERIES G
EXPECTED RATINGS (MOODY'S / S&P / FITCH / DBRS)*: A1 (STABLE) / A+ (ON CREDIT WATCH)** / AA-
(STABLE) / AAL (STABLE)
LEGAL FORMAT: SEC-REGISTERED
MATURITY DATE: NOVEMBER 27, 2020
TRADE DATE: NOVEMBER 19, 2015
SETTLEMENT DATE: NOVEMBER 27, 2015 (T+5)***
REDEMPTION COMMENCEMENT DATE: OCTOBER 27, 2020
COUPON: 2.450% PER ANNUM
COUPON FREQUENCY: SEMI-ANNUALLY
INTEREST PAYMENT DATES: INTEREST PAYS SEMI-ANNUALLY ON EACH MAY 27 AND NOVEMBER 27,
COMMENCING ON MAY 27, 2016 AND ENDING ON THE MATURITY DATE
REDEMPTION PRICE: THE PRINCIPAL AMOUNT OF THE NOTES REDEEMED
REDEMPTION TERMS: REDEEMABLE IN WHOLE OR IN PART AT THE OPTION OF THE ISSUER ON OR AFTER
THE REDEMPTION COMMENCEMENT DATE AT THE REDEMPTION PRICE, PLUS ACCRUED AND UNPAID
INTEREST THEREON TO THE DATE OF REDEMPTION. THE BANK OF NEW YORK MELLON CORPORATION
SHALL PROVIDE AT LEAST 10 AND NOT MORE THAN 60 CALENDAR DAYS NOTICE OF REDEMPTION TO THE
REGISTERED HOLDER OF THE NOTE.
DAY COUNT CONVENTION: 30/360
PRINCIPAL AMOUNT: $800,000,000
ISSUE PRICE: 99.935% OF PRINCIPAL AMOUNT
PROCEEDS TO ISSUER (BEFORE EXPENSES): $798,280,000
BENCHMARK TREASURY: UST 1.375% DUE OCTOBER 31, 2020
BENCHMARK TREASURY YIELD: 1.664%
SPREAD TO BENCHMARK TREASURY: +80 BASIS POINTS
RE-OFFER YIELD: 2.464%
DENOMINATIONS: $1,000 X $1,000
LISTING: NONE
CUSIP/ISIN: 06406HDF3 / US06406HDF38
BOOKRUNNERS:
CREDIT SUISSE SECURITIES (USA) LLC
DEUTSCHE BANK SECURITIES INC.
MORGAN STANLEY & CO. LLC
UBS SECURITIES LLC
BNY MELLON CAPITAL MARKETS, LLC
CO-MANAGERS:
ACADEMY SECURITIES, INC.
CAVU SECURITIES, LLC
DREXEL HAMILTON, LLC
KEEFE, BRUYETTE & WOODS, INC.
MISCHLER FINANCIAL GROUP, INC.
MIZUHO SECURITIES USA INC.
MULTI-BANK SECURITIES, INC.
RBC CAPITAL MARKETS, LLC
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Fixed Rate Senior Notes
https://www.sec.gov/Archives/edgar/data/1390777/000119312515382...
The notes are not deposits or other obligations of a bank and are not insured or guaranteed by the Federal Deposit
Insurance Corporation or any other governmental agency.
The issuer has filed a registration statement (including a prospectus and a prospectus supplement) with the SEC for the offering
to which this communication relates. Before you invest, you should read the prospectus in that registration statement, and other
documents the issuer has filed with the SEC for more complete information about the issuer and this offering. You may get
these documents for free by visiting EDGAR on the SEC web site at www.sec.gov. Alternatively, the issuer, any underwriter or
any dealer participating in the offering will arrange to send you the prospectus if you request it by calling Deutsche Bank
Securities Inc. at 1-800-503-4611, Morgan Stanley & Co. LLC at 1-866-718-1649, Credit Suisse Securities (USA) Inc. at
1-800-221-1037, UBS Securities LLC at 1-888-827-7275 and BNY Mellon Capital Markets, LLC at 1-800-269-6864.
*
A security rating is not a recommendation to buy, sell or hold securities, and may be subject to revision or withdrawal at
any time by the assigning rating organization. Each rating should be evaluated independently of any other rating.
**
Rating is under review for downgrade by Standard & Poor's Ratings Services.
***
The Book-Runners and Co-Managers expect to deliver the Notes in book-entry form only through the facilities of The
Depository Trust Company against payment in New York, New York on or about the fifth business day following the
date of this Term Sheet. Trades of securities in the secondary market generally are required to settle in three business
days, referred to as T+3, unless the parties to a trade agree otherwise. Accordingly, by virtue of the fact that the initial
delivery of the Notes will not be made on a T+3 basis, investors who wish to trade the Notes before a final settlement
will be required to specify an alternative settlement cycle at the time of any such trade to prevent a failed settlement.
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