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Zions Bancorp为2029年到期的5亿美元优先票据定价
2026-07-29 12:39
- Zions Bancorporation (ZION) priced a $500M public offering of fixed-to-floating rate senior notes due Oct. 1, 2029.
- The transaction is expected to settle on July 31.
- The notes will pay a fixed annual interest rate of 5.239% from the settlement date through Sept. 30, 2028. Beginning Oct. 1, 2028, the coupon will reset to a floating rate equal to Compounded SOFR plus 1.08%.
- Zions has the option to redeem the notes in whole on Oct. 1, 2028, at par plus accrued interest.
- Net proceeds will be used to reduce short-term borrowings.
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- Zions Bancorporation cut to Underperform at Evercore ISI amid funding pressures
- Zions Bancorporation Non-GAAP EPS of $1.74 beats by $0.17, revenue of $1.14B beats by $263.48M
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