debt
confidence high
sentiment neutral
materiality 0.40
M&T Bank closes $250M add-on of 7.413% senior notes due 2029, total $1B outstanding
M&T BANK CORP
- Issued $250M aggregate principal amount of 7.413% Fixed/Floating Rate Senior Notes due October 30, 2029.
- Notes reopen and are fungible with $750M original issuance from October 30, 2023; combined $1B total.
- Proceeds used for general corporate purposes; notes listed under CUSIP and ISIN of original series.
- Legal opinion from Squire Patton Boggs filed as Exhibit 5.1.