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Dividends will accrue and be payable from the date of issuance at a rate of 5.625% per annum, payable quarterly in arrears on February 15, May 15, August 15, and November 15 of each year, beginning on February 15, 2020. We may redeem the Series A Preferred Stock at our option, subject to regulatory approval, (1) in whole or in part, from time to time, on any dividend payment date on or after November 15, 2024 at a redemption price equal to $1,000 per share, plus any declared and unpaid dividends, or (2) in whole but not in part, at any time within 90 days following a regulatory capital treatment event (as defined herein), at a redemption price equal to $1,000 per share (equivalent to $25 per depositary share), plus any declared and unpaid dividends. This security was issued by Synchrony Financial, whose common stock symbol is SYF.
$15.80 +0.06 (0.38%)
As of 03/27/2023 10:00:53 EST IEX book CBOE book
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