Issuers
Rating Agencies
Underwriters
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CCY | SZE(M) | TNR | MTY | RNK | MO | SP | FI | TYPE | BNCH | IPT | GDNC | SPRD | CPN | NIC | PRICE |
---|
USD | 700.000 | 3 | Apr-27 | Sr. Unsecured | A2 | A | - | Floating | SOFR | SOFR+90 a | SOFR+70 | 70 | SOFR+70 | - | 100.00000 |
USD | 300.000 | 29 | Aug-53 | Sr. Unsecured | A2 | A | - | Fixed | Tsy | T+120 a | T+97 | 97 | 5.35% | - | 98.24900 |
Tranche Comments
3 yr: First Pay: 2024-07-16; Registration: Registered; Comments: US$700m 3yr(4/16/2027) FRN cpn SOFR+70bps at par;
29 yr: First Pay: 2024-08-01; Redemption: 2053-02-01; Registration: Registered; Comments: US$300m 29yr(8/1/2053) tap of 5.350%, yld 5.470% at 98.249. Spread: T+97bps. Par Call: 6m. MWC: T+25bps;
Deal Comments
US$300m tap of US$600m 30yr 5.35% due 8/1/2053
Guarantor(s)
Public Storage (PSA)
Use of Proceeds
Repay notes and for general corporate purposes