Truist Financial executed a $1.25 billion public offering of 4.957% fixed-to-floating-rate medium-term notes, Series I, due July 23, 2030, through underwriters including Truist Securities and BofA Securities.
Truist Financial executed a $1.25 billion public offering of 4.957% fixed-to-floating-rate medium-term notes, Series I, due July 23, 2030, through underwriters including Truist Securities and BofA Securities.