Lloyds Banking Group PLC issued $1.5 billion in international bonds.
The fixed-rate notes carry a coupon of 4.375% and mature March 22, 2028. They were sold at a price of 99.647%.
Citigroup Global Markets, Goldman Sachs & Co., Lloyds Securities and Morgan Stanley & Co. acted as book runners on the issuance.
Unit Lloyds Bank PLC issued €1 billion in fixed-rate notes, Cbonds reported March 16. The bonds carry a coupon of 0.625% and mature March 26, 2025.
BBVA, ING Wholesale Banking London, LBBW, Lloyds Banking Group and Société Générale served as book runners on the latter issuance.
