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Company NameZions Bancorporation, National Association
Offering TypeConvertible Bond
Description6.000% Convertible subordinated unsecured notes, due 09/15/15
Currency of IssueUSD
Trading Symbol (Exchange)ZB.A15 (NYSE)
Announcement Date9/2/2003
Trade Date9/3/2003
Settlement Date9/10/2003
Completion Date9/3/2003
Shelf Filing Date8/7/2003
Mandatory Redemption?Yes
Exchange for Existing Issue?No

Use of Proceeds
The net proceeds of this offering will be used for repayment of outstanding indebtedness including commercial paper and for other general corporate purposes.

Offer Price ($)99.80
Yield to Maturity (%)6.023
Treasury Spread (%)1.430
Gross Amount Offered ($000)500,000
Amount Including Overallotment ($000)500,000
Minimum Denominations/Increments1,000/1,000
Original Shelf Value ($000)1,050,000

Current Security RatingsCurrent Issuer Ratings

Underwriting Fees
Gross Spread ($)6.00
Gross Spread (%)0.60
Sales Concession ($)3.50
Reallowance ($)2.50

UnderwritersShares UnderwrittenAmount Underwritten($000)
Book Manager(s)
  Goldman Sachs & Co. LLC-300,000
  J.P. Morgan Securities LLC-50,000
  Keefe, Bruyette & Woods, Inc.-50,000
  Wells Fargo Securities, LLC-50,000
  Zions Direct, Inc.-50,000

Issuer's CounselCallister, Nebeker & McCullough
Underwriter's CounselSullivan & Cromwell LLP
Auditor(s)Ernst & Young LLP
Clearing House(s)Depository Trust Company

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