Goldman Sachs Group Inc. has issued $1.00 billion of floating-rate notes due 2022, $2.25 billion of 3.00% notes and $1.75 billion of 3.85% notes.
The 3.00% notes are due April 26, 2022. Interest is payable April 26 and Oct. 26 each year, beginning April 26. The 3.85% notes are due Jan. 26, 2027. Interest is payable Jan. 26 and July 26 each year beginning July 26.