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Recent items, highlighted in orange, are $4.00 each. All others are $1.00 each.


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Lloyds TSB Bank plc 3.4% initially, stepping up to 4% on Nov. 27, 2023, to 5% on Nov. 27, 2025, to 6% on Nov. 27, 2027, to 7% on Nov. 27, 2029 and to 8% on Nov. 27, 2031; payable semiannually due 11/27/2028

Lloyds TSB Bank plc 10% for one year; after that, 4 times spread of 30-year CMS rate over two-year CMS rate less 25 bps, capped at 10%; payable quarterly due 10/25/2033

Lloyds TSB Bank plc 10% initially; beginning Sept. 26, 2014, accrue at a multiple of the spread of the 30-year CMS rate over the two-year CMS rate for each day that index closes at or above barrier level; multiplier will be 5 times initially, stepping up to 7 times on Sept. 26, 2018; payable quarterly due 9/26/2033

Lloyds TSB Bank plc 3.945% in years one through five, 4.445% in years six through 10 and 5.445% in years 11 through 15; payable semiannually due 8/28/2028

Lloyds TSB Bank plc 8% for first year; beginning Aug. 28, 2014, applicable interest rate multiplied by proportion of days on which index closes at or above index reference level and spread of 30-year CMS rate over two-year CMS rate is at least 50 bps; applicable rate is 8% initially and will step up to 9% on Aug. 28, 2018 and to 10% on Aug. 28, 2028; payable quarterly due 8/28/2033

Lloyds TSB Bank plc 3.5% initially, stepping up to 4% on July 29, 2018, to 4.75% on July 29, 2022, to 5.5% on July 29, 2025 and to 7% on July 29, 2027; payable semiannually due 7/29/2028

Lloyds TSB Bank plc 9.85% initially; beginning July 29, 2014, four times spread of 30-year CMS rate over two-year CMS rate minus 50 bps, subject to floor of zero and cap of 9.85% per year; payable quarterly due 7/29/2033

Lloyds TSB Bank plc 7% annualized for each index closes at or above 1,250 and six-month Libor is 6% or less; payable quarterly due 7/26/2028

Lloyds TSB Bank plc 11.15% initially; beginning July 26, 2014, 4.5 times spread of 30-year CMS rate over five-year CMS rate, subject to floor of zero and cap of 11.15% per year; payable quarterly due 7/26/2033

Lloyds TSB Bank plc 13% initially; beginning July 5, 2014, four times spread of 30-year CMS rate over five-year CMS rate, subject to floor of zero and cap of 13% per year; payable quarterly due 7/5/2033

Lloyds TSB Bank plc 12.5% initially; beginning April 26, 2014, four times spread of 30-year CMS rate over five-year CMS rate, with floor of 0% and cap of 12.5%; payable quarterly due 4/26/2033

Lloyds TSB Bank plc 7% multiplied by the proportion of days on which index closes at or above the index reference level and the spread of the 30-year CMS rate over the two-year CMS rate is greater than or equal to zero; payable quarterly due 2/26/2033

Lloyds TSB Bank plc 10% for first year; beginning Feb. 22, 2014, per-year rate equal to (a) 4.25 times (b) spread of 30-year CMS rate over five-year CMS rate minus 0.5, subject to minimum rate of zero and maximum rate of 9% per year; payable quarterly due 2/22/2033

Lloyds TSB Bank plc 8% for first year; beginning Feb. 26, 2014, applicable interest rate multiplied by proportion of days on which index closes at or above index reference level; payable quarterly; Applicable interest rate: Four times spread of 30-year CMS rate over two-year CMS rate, subject to minimum of zero and maximum of 8% per year due 2/26/2033

Lloyds TSB Bank plc 3% initially, stepping up to 3.98% on Feb. 14, 2018 and to 4.73% on Feb. 14, 2023; payable semiannually due 2/14/2028

Lloyds TSB Bank plc 9% initially, beginning Jan. 31, 2014 (a) 4.3 times (b) spread of 30-year CMS rate over five-year CMS rate minus a strike of 50 bps, with a minimum rate of 0% and a maximum rate of 9%; payable quarterly due 1/31/2033

Lloyds TSB Bank plc 3.4% initially, stepping up to 4% on Jan. 31, 2023, to 5% on Jan. 31, 2025, to 6% on Jan. 31, 2027, to 7% on Jan. 31, 2029 and to 8% on Jan. 31, 2031; payable quarterly due 1/31/2033

Lloyds TSB Bank plc 3.2% initially, stepping up to 4.2% on Dec. 27, 2022, to 5% on Dec. 27, 2027, to 6% on Dec. 27, 2030 and to 7% on Dec. 27, 2031; payable semiannually due 12/27/2032

Lloyds TSB Bank plc 2.5% initially, stepping up to 3% on Oct. 30, 2015, to 3.5% on Oct. 30, 2018, to 4% on Oct. 30, 2021 and to 5% on Oct. 30, 2024; payable quarterly due 10/30/2027

Lloyds TSB Bank plc 3.5% initially, stepping up to 4% on Sept. 19, 2017, to 4.5% on Sept. 19, 2019, to 5% on Sept. 19, 2022, to 5.5% on Sept. 19, 2023, to 6% on Sept. 19, 2024, to 7% on Sept. 19, 2025 and to 10% on Sept. 19, 2026; payable quarterly due 9/19/2027

Lloyds TSB Bank plc For each day that index closes at or above 990 and six-month Libor is 6% or less, annualized rate of 7% until Sept. 19, 2022, 10% until Sept. 19, 2027 and 12% after that; payable quarterly due 9/19/2032

Lloyds TSB Bank plc 4.2% initially, stepping up to 6.25% on July 23, 2024, to 7.25% on July 23, 2026 and to 8.25% on July 23, 2029; payable semiannually due 7/23/2032

Lloyds TSB Bank plc 4.5% initially; beginning July 23, 2014, the 10-year CMS rate plus 95 bps, floor of 1.5%; payable quarterly due 7/23/2022

Lloyds TSB Bank plc 4.25% for first year; beginning July 20, 2013, Libor plus 125 bps, subject to minimum interest rate of 2% per year; payable quarterly due 7/20/2017

Lloyds TSB Bank plc 4.12% initially, stepping up to 5.12% for years six through 10 and 5.12% for years 11 through 15; payable semiannually due 7/19/2027

Lloyds TSB Bank plc 8.25% per year multiplied by proportion of days on which index closes at or above 990 and six-month Libor is 7% or less; payable quarterly due 7/20/2032

Lloyds TSB Bank plc 4.5% in years one through 10, 6.5% in years 11 through 15 and 8.5% in years 16 through 20; payable semiannually due 6/28/2032

Lloyds TSB Bank plc 8% annualized for each index closes at or above 995 and six-month Libor is 7% or less; payable quarterly due 6/29/2027

Lloyds TSB Bank plc 8% per year multiplied by proportion of days on which index closes at or above 995 and six-month Libor is 7% or less; payable quarterly due 6/8/2027

Lloyds TSB Bank plc 3.00% due 10/22/2014

Lloyds TSB Bank plc 5% for first two years; beginning April 27, 2014, Libor plus 150 basis points, subject to minimum interest rate of 2% per year that steps up to 2.5% on April 27, 2016, to 3% on April 27, 2017, to 3.5% on April 27, 2018 and to 4% on April 27, 2019; payable quarterly due 4/27/2020

Lloyds TSB Bank plc 8% initially; beginning April 26, 2013, four times spread of 30-year CMS rate over two-year CMS, floor of 0.25%, and capped at 8% to April 26, 2018, 8.5% to April 26, 2022, 9% to April 26, 2024, 10% to April 26, 2026 and 12% after that until maturity; payable quarterly due 4/26/2027

Lloyds TSB Bank plc 3% for first year; beginning April 27, 2013, Libor plus 150 basis points, subject to floor of 2% per year; payable quarterly due 10/27/2014

Lloyds TSB Bank plc 5% initially, stepping up to 6.25% on April 12, 2020 and to 8.25% on April 12, 2025; payable semiannually due 4/12/2027

Lloyds TSB Bank plc 3.000% due 4/13/2015

Lloyds TSB Bank plc 5% initially, stepping up to 6.13% on Feb. 17, 2017 and to 8.13% on Feb. 17, 2022; payable semi-annually due 2/17/2027

Lloyds TSB Bank plc 5% initially; steps up to 5.5% on July 28, 2018, to 7.25% on July 28, 2021 and to 10% on July 28, 2024; payable semiannually due 7/28/2026

Lloyds TSB Bank plc 2.85% initially; after June 28, 2013, Libor plus 150 bps, capped at 7%; payable quarterly due 7/28/2016

Lloyds TSB Bank plc Initially 3.5%; steps up to 4% on July 27, 2014 and to 5.5% on July 27, 2017; payable semiannually due 7/27/2018

Lloyds TSB Bank plc Libor plus 100 bps, floor of 3% and cap of 7%; payable quarterly due 7/27/2018

Lloyds TSB Bank plc 5% for 10 years and 6.5% after that; payable semiannually due 7/28/2026



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