EX-1.1
from 8-K
34 pages
State Street Corporation $300,000,000 Floating Rate Senior Notes Due 2028 $700,000,000 Fixed-To-Floating Rate Senior Notes Due 2028 $1,000,000,000 4.834% Senior Notes Due 2030 Underwriting Agreement
12/34/56
EX-1.1
from 8-K
34 pages
State Street Corporation $1,350,000,000 4.536% Senior Notes Due 2028 $650,000,000 4.729% Senior Notes Due 2030 $750,000,000 Fixed-To-Floating Rate Senior Notes Due 2036 Underwriting Agreement
12/34/56
EX-1.1
from 8-K
33 pages
State Street Corporation $1,200,000,000 4.330% Senior Notes Due 2027 $300,000,000 Floating Rate Senior Notes Due 2027 $800,000,000 Fixed-To-Floating Rate Senior Notes Due 2032 Underwriting Agreement
12/34/56
EX-1.1
from 8-K
34 pages
State Street Corporation $300,000,000 Fixed-To-Floating Rate Senior Notes Due 2026 $650,000,000 Fixed-To-Floating Rate Senior Notes Due 2028 $550,000,000 Fixed-To-Floating Rate Senior Notes Due 2033 Underwriting Agreement
12/34/56