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Dividends will accrue and be payable quarterly in arrears, on the 15th day of March, June, September, and December of each year, commencing on December 15, 2016, at a fixed rate per annum equal to 6.00% from the original issue date to, but excluding, December 15, 2021, and thereafter at a floating rate per annum equal to three-month LIBOR on the related dividend determination date (as defined herein) plus a spread of 4.762% per annum. Dividends on the Series F Preferred Stock will not be cumulative. We may redeem the Series F Preferred Stock at our option, at a redemption price equal to $25.00 per share, plus any declared and unpaid dividends (without regard to any undeclared dividends), (i) in whole or in part, from time to time, on any dividend payment date on or after December 15, 2021. This security was issued by Customers Bancorp Inc, whose common stock symbol is CUBI.
$18.95 +0.42 (2.28%)
As of 03/27/2023 11:49:24 EST IEX book CBOE book
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