Mutual of Omaha Insurance Co

Deals

CCYSZE(M)TNRMTYRNKMOSPFITYPEBNCHIPTGDNCSPRDCPNNICPRICE
USD300.00040Jan-64-A3A--FixedTsyT+220 a-1956.14%-100.00000
Tranche Comments
40 yr: Book size: 1400; First Pay: 2024-07-16; Redemption: 2054-01-16; Registration: 144A/Reg S; Comments: US$300m 6.144% cpn 40-year (1/16/64) at 100, yld 6.144%. Spread: T+195bp. MWC T+30bp. Back-End: T+295bp. Par Call: 3m. Reset Date: 2054-01-16. LEI: P2LER0UPV1DKOU8RO042;
Deal Comments
Surplus Notes
Use of Proceeds
Redeem notes and for general corporate purposes

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