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SEC Registered Public Offerings

Telecommunications Provider: $148,383,146 Zero Coupon Non-Recourse Secured Notes.

Pharmaceuticals Company:  $250,000,000 7.75% Senior Subordinated Notes.

Pharmaceuticals Company:  $325,000,000 Senior Floating Rate Notes.

Insurance Company: $285,400,000 Liquid Yield Option Notes (Zero Coupon-Senior).

Electric Utility:  $350,000,000 6.875% Senior Notes.

Electric Utility:  $250,000,000 6.400% Senior Notes.

Aerospace component manufacturer: $275,000,000 7 3/4% Senior Subordinated Notes.

Electric Utility:  $400,000,000 6.20% Debentures.

Medical device manufacturer: $600,000,000 6.00% Notes.

Medical device manufacturer: $600,000,000 6.40% Notes.

Consumer products manufacturer: $125,000,000 9 5/8% Senior Subordinated Debt Notes.

Health Care Company: $100,000,000 5.75% Convertible Subordinated Debentures.

Bio-technology company in connection with SEC registered stock option and retirement plans.

Portfolio Company, Private Equity Fund: $220,000,000 9 3/8% Senior Subordinated Notes.

Portfolio Company, Private Equity Fund: $141,910,000 11 ¾% Cumulative Redeemable Exchangeable Preferred Stock.

Community Bank Group: $64,080,000 initial offering of Common Stock.

Bank Holding Company: $215,250,000 offering of Common Stock.

Bank Holding Company: $200,000,000 offering of 10 3/4% Cumulative Preferred Stock.

Bank Holding Company: $150,000,000 offering of 10 1/8% Subordinated Capital Notes.