OMERS Finance Trust successfully completes offering of USD term notes
April 8, 2020
OMERS Finance Trust (OFT) has priced its USD 1 billion, three-year USD Reg S / 144a notes. The notes are guaranteed by OMERS Administration Corporation (AC), rated Aa1/AA+/AAA/AAA (Moody's / S&P / Fitch / DBRS, all stable). This marks OFT’s second USD offering as an SSA issuer.
BMO Capital Markets, HSBC, RBC Capital Markets and TD Securities acted as joint lead managers on the transaction. The three-year USD note priced at a yield of 1.139%, which is equivalent to a spread of 80 bps over the equivalent US Treasury. The notes mature on April 14, 2023.
By Geography:
By Investor Type:
Americas
65%
Banks Treasuries & Private Banks
36%
Europe, Middle East, Africa
29%
Central Banks & Official Institutions
36%
Asia
6%
Asset Managers
24%
Other
4%