This website uses cookies and, in some cases, third-party cookies, to improve user experience. By clicking the button or continuing to use the website you agree to the use of cookies. To find out more, including how to change your settings, see our Cookie Policy.

Banque Federative Credit Mutuel FLR% 2022-07 USD

New bond issue: Banque Federative Credit Mutuel issued new debt notes (US06675GAN51, 06675GAN5) (144A: US06675FAN78, 06675FAN7) for 400M USD as of July 20, 2017.

Banque Federative du Credit Mutuel is a French bank headquartered in Strasbourg. It is part of Credit Mutuel Group, a major French bank, with headquarters in Strasbourg, Alsace.

IssuerBanque Federative Credit Mutuel
Bond TypeCorporate
CategorySenior
Maturity DateJuly 20, 2022
Residual Duration7 months, 11 days
CurrencyUSD (United States Dollar)
Coupon TypeFloating Rate
Coupon (Yearly)0.730%+USDLibor3M
Coupon FrequencyQuarterly
Minimum Lot200,000 USD
Additional Lots1,000 USD
Issue DateJuly 20, 2017
Issued Amount400,000,000 USD
Maturity Price100.000%
Issuer RatingA stable (S&P), Aa3 stable (Moody's), A+ stable (Fitch)
Other ExchangesStuttgart, TRACE
IsinUS06675GAN51
Cusip06675GAN5
Isin 144AUS06675FAN78 (144A)
Cusip 144A06675FAN7 (144A)
IndustryBanking
SectorFinancials
CountryFrance
RegionEurope developed


Bonds, Corporate, Financials, Banking, Europe developed, France, USD, Floating Rate, Income


Next Dubai Islamic Bank 3.625% 2023-02 USD

investopoli.com