On June 13, 2022, The Bank of New York Mellon Corporation issued $700,000,000 aggregate principal amount of its 3.430% Fixed Rate /Floating Rate Callable Senior Medium-Term Notes Series J due 2025 (the 2025 Fixed Rate /Floating Notes), $500,000,000 aggregate principal amount of its 3.992% Fixed Rate /Floating Rate Callable Senior Medium-Term Notes Series J due 2028 (the 2028 Fixed Rate /Floating Rate Notes) and $750,000,000 aggregate principal amount of its 4.289% Fixed Rate /Floating Rate Callable Senior Medium-Term Notes Series J due 2033 (the 2033 Fixed Rate /Floating Rate Notes and, together with the 2025 Fixed Rate /Floating Rate Notes and the 2028 Fixed Rate /Floating Rate Notes, the Notes). The Notes were registered under the Securities Act of 1933, as amended, pursuant to a registration statement on Form S-3.
Bank of New York Mellon Corporation (The)
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-4.58% | 114B | |
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+17.46% | 62.28B | |
+11.88% | 41.73B | |
+19.41% | 34.99B | |
+4.01% | 24.9B | |
-3.03% | 22.41B | |
+5.06% | 19.03B | |
+0.76% | 17.31B |
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- The Bank of New York Mellon Corporation Issues $700,000,000 Aggregate Principal Amount of its 3.430% Fixed Rate / Floating Rate Callable Senior Medium-Term Notes Series J Due 2025