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424B2: Prospectus

424B2: Prospectus

424B2:募資說明書
美股SEC公告 ·  03/14 17:27

牛牛AI助理已提取核心訊息

Bank of Montreal announced the issuance of $10 million Senior Medium-Term Notes, Series I with a fixed interest rate of 5.25% per annum, due September 17, 2032. The notes will be issued at $1,000 per note with semi-annual interest payments commencing September 17, 2025.The notes are redeemable by the bank in whole on optional redemption dates, occurring semi-annually from September 2025 through March 2032. BofA Securities will receive underwriting discounts of up to $8.50 per note, with total proceeds to Bank of Montreal of $9.915 million.As bail-inable notes, they are subject to conversion into common shares of Bank of Montreal or its affiliates under Canadian bank resolution powers. The notes will not be listed on any securities exchange and are subject to Bank of Montreal's credit risk.
Bank of Montreal announced the issuance of $10 million Senior Medium-Term Notes, Series I with a fixed interest rate of 5.25% per annum, due September 17, 2032. The notes will be issued at $1,000 per note with semi-annual interest payments commencing September 17, 2025.The notes are redeemable by the bank in whole on optional redemption dates, occurring semi-annually from September 2025 through March 2032. BofA Securities will receive underwriting discounts of up to $8.50 per note, with total proceeds to Bank of Montreal of $9.915 million.As bail-inable notes, they are subject to conversion into common shares of Bank of Montreal or its affiliates under Canadian bank resolution powers. The notes will not be listed on any securities exchange and are subject to Bank of Montreal's credit risk.
蒙特利爾銀行宣佈發行1000萬加拿大元的高級中期票據,系列I,固定年利率爲5.25%,到期日爲2032年9月17日。票據將以每張1000加元的價格發行,利息支付將於2025年9月17日開始,每年支付兩次。銀行可在自選贖回日期全額贖回這些票據,贖回日期爲從2025年9月到2032年3月的每半年一次。美國銀行證券公司將獲得每張票據最高8.50加元的承銷折扣,蒙特利爾銀行的總收益爲991.5萬加元。作爲可注資的票據,受加拿大銀行恢復權力的約束,可以轉換爲蒙特利爾銀行或其子公司的普通股。這些票據將不在任何證券交易所上市,並且面臨蒙特利爾銀行的信用風險。
蒙特利爾銀行宣佈發行1000萬加拿大元的高級中期票據,系列I,固定年利率爲5.25%,到期日爲2032年9月17日。票據將以每張1000加元的價格發行,利息支付將於2025年9月17日開始,每年支付兩次。銀行可在自選贖回日期全額贖回這些票據,贖回日期爲從2025年9月到2032年3月的每半年一次。美國銀行證券公司將獲得每張票據最高8.50加元的承銷折扣,蒙特利爾銀行的總收益爲991.5萬加元。作爲可注資的票據,受加拿大銀行恢復權力的約束,可以轉換爲蒙特利爾銀行或其子公司的普通股。這些票據將不在任何證券交易所上市,並且面臨蒙特利爾銀行的信用風險。

譯文內容由第三人軟體翻譯。


牛牛AI助手部分由第三方人工智慧模型基於資訊內容自動產生。


以上內容僅用作資訊或教育之目的,不構成與富途相關的任何投資建議。富途竭力但無法保證上述全部內容的真實性、準確性和原創性。
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