Еврооблигации: Butterfield Bank, 5.25% 15jun2030, USD (FIGI BBG00V94HW31)
Переменная ставка, Trace-eligible, Subordinated Unsecured
Переменная ставка, Trace-eligible, Subordinated Unsecured
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The Butterfield group is a full service community bank and a provider of specialised international financial services. Our headquarters and largest operations are in Bermuda, where we were established in 1858 as the Island’s first bank, ...
The Butterfield group is a full service community bank and a provider of specialised international financial services. Our headquarters and largest operations are in Bermuda, where we were established in 1858 as the Island’s first bank, and continue to play an important role in the local economy. The Butterfield group offers a full range of community banking services in Bermuda, Barbados and the Cayman Islands, encompassing retail and corporate banking and treasury activities. In the wealth management area, the group provides private banking, asset management and personal trust services from its headquarters in Bermuda and subsidiary offices in The Bahamas, the Cayman Islands, Guernsey, Hong Kong, Malta, Switzerland and the United Kingdom. Butterfield also provides services to corporate and institutional clients from offices in Bermuda, The Bahamas, the Cayman Islands and Guernsey, which include asset management and corporate trust services. Butterfield is a publicly traded corporation with shares listed on the Bermuda and Cayman Islands stock exchanges. The Bank’s share price is also available on Bloomberg Financial Markets.
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Откройте глобальную базу данных
1 000 000
облигаций
80 234
акций
175 659
ETF & Funds
80 000
индексов
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Облигации Butterfield Bank серии (ISIN US064227AC58, FIGI BBG00V94HW31) — Butterfield Bank, 5.25% 15jun2030, USD выпуск компании «Bank of N.T. Butterfield & Son Ltd » объёмом 100 000 000,00 USD в обращении на внебиржевом рынке. Выпуск имеет номинал 1 000 USD и торгуется как самостоятельный долговой инструмент.
Дата размещения — эмиссия прошла на внебиржевом рынке в формате *** через ***. Погашение запланировано на *** и предусмотрено условиями выпуска без амортизации номинала по графику.
По выпуску Butterfield Bank установлена плавающая ставка. Базовая ставка — ***, маржа на уровне — ***.
Купоны выплачиваются ***, дата ближайшей выплаты — . Всего по выпуску предусмотрено 30 купонных периодов, из них выплачено — 0, осталось — 30.
Эмитент — Bank of N.T. Butterfield & Son Ltd /Бермудские острова/Корпоративный, с рейтингом отMoody's Investors Service(29.05.2026),S&P Global Ratings(03.06.2026),S&P Global Ratings(03.06.2026),Fitch Ratings(15.04.2019),Kroll Bond Rating Agency(30.07.2025),Kroll Bond Rating Agency(30.07.2025),Kroll Bond Rating Agency(30.07.2025),Sustainalytics(03.04.2025)
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