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Company NameZions Bancorporation, National Association
Offering TypeSubordinated Debt
DescriptionVariable rate unsecured subordinated notes, due Nov 15, 2023
ISINUS989701BH97
Currency of IssueUSD
Trading Symbol (Exchange)ZION4066869 (OTC)
 
Announcement Date10/28/2013
Trade Date10/31/2013
Expected Completion10/31/2013
Settlement Date11/5/2013
Completion Date10/31/2013
Shelf Filing Date4/4/2011
 
144a?No
Mandatory Redemption?Yes
Convertible?No
Exchange for Existing Issue?No

Use of Proceeds
The net proceeds from this offering will be used for general corporate purposes, which may include the redemption or repurchase of certain of the company's securities.

Pricing
Offer Price ($)100.00
Gross Amount Offered ($000)162,000
Amount Including Overallotment ($000)162,000
Minimum Denominations/Increments1,000/1,000

Current Security RatingsCurrent Issuer Ratings
Standard & Poor's Financial Services, LLCBBB

Underwriting Fees
Gross Spread ($)15.00
Gross Spread (%)1.50
Sales Concession ($)15.00
Reallowance ($)10.00

UnderwritersShares UnderwrittenAmount Underwritten($000)
Book Manager(s)
  Deutsche Bank Securities Inc.-38,880
  Goldman Sachs & Co. LLC-38,880
  Macquarie Capital (USA) Inc.-38,880
  Merrill Lynch, Pierce, Fenner & Smith Incorporated-38,880
  Zions Direct, Inc.-6,480

Professionals
Issuer's CounselCallister, Nebeker & McCullough
Underwriter's CounselCleary Gottlieb Steen & Hamilton LLP
Auditor(s)Ernst & Young LLP
Clearing House(s)Clearstream Banking SA
Depository Trust Company
Euroclear Bank SA/NV

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