Issuer / Guarantor
|
Boston Properties Limited Partners
|
Size
|
USD 1000mn
|
Type
|
Convertible
|
Leads
|
Morgan Stanley, JP Morgan, Truist, Wells Fargo, BBVA, BNY Mellon, BoA, M&T Securities, Mizuho Securities, PNC Capital, Scotia Capital, SMBC Nikko Securities, TD Cowen, US Bancorp
|
|
|
Maturity
|
01 Oct 2030 (5 years)
|
Coupon
|
2% (1.875 - 2.375%)
|
Premium
|
22.5% (20 - 25%)
|
Calls
|
NC3; PC @ 130% w table MW
|
Puts
|
t/o @ 100%
|
Div protection
|
Ratio adjustment (for excess above threshold)
|
T/o protection
|
Make-whole table
|
CoCo
|
130% to Jun 2030 (4.8 yrs)
|
Announced
|
24 Sep 2025
|
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