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Share Name | Share Symbol | Market | Type |
---|---|---|---|
Morgan Stanley | NYSE:MS | NYSE | Common Stock |
Price Change | % Change | Share Price | High Price | Low Price | Open Price | Shares Traded | Last Trade | |
---|---|---|---|---|---|---|---|---|
0.415 | 0.44% | 94.055 | 94.91 | 93.70 | 94.56 | 1,726,330 | 16:58:21 |
Issuer:
|
Morgan Stanley
|
Principal Amount:
|
$2,500,000,000
|
Maturity Date:
|
October 24, 2023
|
Trade Date:
|
October 19, 2016
|
Original Issue Date (Settlement):
|
October 24, 2016 (T+3)
|
Interest Accrual Date:
|
October 24, 2016
|
Issue Price (Price to Public):
|
100.00%
|
Agents’ Commission:
|
0.40%
|
All-in Price:
|
99.60%
|
Net Proceeds to Issuer:
|
$2,490,000,000
|
Base Rate:
|
LIBOR
|
Spread (plus or minus):
|
Plus 1.40%
|
Index Maturity:
|
Three months
|
Index Currency:
|
U.S. Dollars
|
Interest Payment Period:
|
Quarterly
|
Interest Payment Dates:
|
Each January 24, April 24, July 24 and October 24, commencing January 24, 2017
|
Day Count Convention:
|
Actual/360
|
Optional Redemption:
|
The Issuer may, at its option, redeem the notes, in whole but not in part, on October 24, 2022, on at least 15 but not more than 60 days’ prior notice, at a redemption price equal to 100% of their principal amount, plus accrued and unpaid interest on the notes to but excluding the redemption date. See “Description of Debt Securities – Redemption and Repurchase of Debt Securities – Notice of Redemption” in the below-referenced Prospectus. If the notes are redeemed prior to their stated maturity date, you may have to re-invest the proceeds in a lower interest rate environment.
|
Initial Interest Rate:
|
Base Rate plus 1.40% (to be determined by the Calculation Agent on the second London banking day prior to the Original Issue Date)
|
Initial Interest Reset Date:
|
January 24, 2017
|
Interest Reset Dates:
|
Each Interest Payment Date
|
Interest Reset Period:
|
Quarterly
|
Specified Currency:
|
U.S. Dollars (“$”)
|
Minimum Denominations:
|
$1,000 and integral multiples of $1,000 in excess thereof
|
Business Day:
|
New York
|
CUSIP:
|
61746B EC6
|
ISIN:
|
US61746BEC63
|
Issuer Ratings:
|
A3 (Moody’s) / BBB+ (Standard & Poor’s) / A (Fitch) / A- (R&I) / A (high) (DBRS)
(Stable / Stable / Stable / Stable / Stable) |
Agents:
|
Morgan Stanley & Co. LLC and such other agents as shall be named in the above-referenced Pricing Supplement for the notes.
|
Global Settlement:
|
Through The Depository Trust Company, Euroclear or Clearstream, Luxembourg
|
1 Year Morgan Stanley Chart |
1 Month Morgan Stanley Chart |
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