debt
confidence high
sentiment neutral
materiality 0.50
M&T Bank closes $500M offering of 5.295% subordinated notes due 2036
M&T BANK CORP
- Issued $500M aggregate principal of 5.295% Fixed Rate Reset Subordinated Notes, Series B.
- Notes mature April 18, 2036; issued under existing shelf registration statement on Form S-3.
- Closing occurred April 20, 2026; legal opinion filed as Exhibit 5.1.