January 29, 2025 Experience Bank of America $10 billion floating-rate and fixed-to-floating-rate notes The five-tranche investment-grade debt offering is based on the Secured Overnight Financing Rate
January 28, 2025 Experience Central American Bank for Economic Integration $1.5 billion notes The notes are due 2028
January 22, 2025 Experience Banco Santander $2 billion notes offering We advised Banco Santander on the offering
January 22, 2025 Experience JBS $1.75 billion senior notes offerings The investment-grade notes are due 2035 and 2055
January 21, 2025 Experience Province of Ontario $3 billion global bond offering The investment-grade bonds are due 2030
January 17, 2025 Experience SMFG $3.2 billion senior notes offering We advised SMFG on its SEC-registered offering of TLAC notes
January 16, 2025 Experience Deutsche Bank $1.75 billion notes offerings The offerings included fixed-to-floating-rate and floating-rate eligible liabilities notes
January 16, 2025 Experience UBS $1.25 billion senior notes offering The investment-grade notes are due 2028
January 15, 2025 Experience SP Group Treasury GMTN update and $700 million notes offering The notes are due 2029