Regulatory Capital Instruments

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Public Rated Issuances

Level
Currency
Issue Date
Maturity Date
Description
Credit Ratings
Moody's
Standard & Poor's
Fitch
Details
Additional
Tier 1
S$ May 2016 Perpetual S$750 million 4% non-cumulative non-convertible perpetual capital securities Baa1 Not applicable BBB Circular/Pricing Supplement
Additional
Tier 1
S$ November 2013 Perpetual S$500 million 4.75% non-cumulative non-convertible perpetual capital securities Baa1 Not applicable BBB Circular/Pricing Supplement
Additional
Tier 1
S$ July 2013 Perpetual S$850 million 4.90% non-cumulative non-convertible perpetual capital securities Baa1 Not applicable BBB Circular/Pricing Supplement
Tier 2 S$ February 2017 February 2029 S$750 million 3.50% subordinated notes due 2029 callable in 2024 A3 Not applicable A+ Circular/Pricing Supplement
Tier 2 US$ September 2016 March 2027 US$600 million 2.88% subordinated notes due 2027 callable in 2022 A3 Not applicable A+ Circular/Pricing Supplement
Tier 2 US$ March 2016 September 2026 US$700 million 3.50% subordinated notes due 2026 callable in 2021 A3 Not applicable A+ Circular/Pricing Supplement(1)

Circular/Pricing Supplement(2)
Tier 2 S$ May 2014 May 2026 S$500 million 3.50% subordinated notes due 2026 callable in 2020 A3 Not applicable A+ Circular/Pricing Supplement
Tier 2 US$ March 2014 September 2024 US$800 million 3.75% subordinated notes due 2024 callable in 2019 A3 Not applicable A+ Circular/Pricing Supplement
Tier 2 S$ July 2012 July 2022 S$1.2 billion 3.15% subordinated notes due 2022 callable in 2017 A1 A+ A+ Circular/Pricing Supplement
Tier 2 US$ October 2012 October 2022 US$500 million 2.875% subordinated notes due 2022 callable in 2017 A1 A+ A+ Circular/Pricing Supplement
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