Issuer:
|
KeyCorp | |||||
Type:
|
Senior Medium Term Notes, Series H | |||||
Ratings:
|
A2/A-/A (Moodys/S&P/Fitch) | |||||
Trade Date:
|
May 22, 2006 | |||||
Settlement Date:
|
May 25, 2006 (T+3) | |||||
Maturity:
|
May 26, 2009 | |||||
Par Amount:
|
$500,000,000 | |||||
Ranking:
|
Senior | |||||
Coupon:
|
One-month USD LIBOR (Telerate) plus 0.10% per annum. | |||||
Public Offering Price:
|
100.000% | |||||
Underwriting Discount:
|
0.100% | |||||
Purchase Price to Managers:
|
99.900% | |||||
Net Proceeds to KeyCorp:
|
$499,500,000 | |||||
Interest Determination Dates:
|
Two London business days prior to each Interest Reset Date. | |||||
Interest Reset Period:
|
Monthly | |||||
Interest Payment Dates:
|
Monthly on the 26th day of each month, commencing on June 26, 2006. | |||||
Calculation Agent:
|
KeyBank National Association | |||||
Day Count:
|
Actual/360 | |||||
Sinking Fund:
|
Not applicable. | |||||
Minimum Denominations:
|
$1,000 | |||||
Sole Book-Running Manager:
|
KeyBanc Capital Markets, a Division of McDonald Investments Inc. | $380,000,000 (76%) | ||||
Senior Co-Managers:
|
Credit Suisse Securities (USA) LLC | $30,000,000 (6%) | ||||
UBS Securities LLC | $30,000,000 (6%) | |||||
Co-Mangers:
|
Goldman, Sachs & Co. | $15,000,000 (3%) | ||||
J.P. Morgan Securities Inc. | $15,000,000 (3%) | |||||
Lehman Brothers Inc. | $15,000,000 (3%) | |||||
Morgan Stanley & Co. Incorporated | $15,000,000 (3%) | |||||
CUSIP:
|
49326EDX8 |
Debt Capital Markets
|