Issuer:
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Royal Bank of Canada
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Title of the Series:
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Senior Floating Rate Notes, due April 30, 2021 (the “Notes”)
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Expected Ratings1:
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A1 / AA- / AA (Negative / Negative / Stable)
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Principal Amount:
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$1,500,000,000
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Issue Price:
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100.000%
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Trade Date:
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April 24, 2018
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Settlement Date (T+4) 2:
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April 30, 2018
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Maturity Date:
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April 30, 2021
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Minimum Denomination:
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$1,000 and multiples of $1,000
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Interest Rate:
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3-month USD LIBOR plus 39 bps payable and reset quarterly
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Fees:
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0.150%
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Interest Payment Dates:
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Quarterly on the 30th of each January, April, July, and October beginning July 30, 2018
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Payment Convention:
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Modified following business day convention, adjusted
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Business Days:
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London, New York, Toronto
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Day Count Fraction:
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Actual / 360
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Listing:
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None
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Optional Redemption:
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None
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CUSIP / ISIN:
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78013XKH0 / US78013XKH07
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Lead Managers and Joint Book
Runners:
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RBC Capital Markets, LLC
J.P. Morgan Securities LLC
Wells Fargo Securities, LLC
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Co-Managers:
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ANZ Securities, Inc.
BB&T Capital Markets, a division of BB&T Securities, LLC
BNY Mellon Capital Markets, LLC
Capital One Securities, Inc.
Commonwealth Bank of Australia
DBS Bank Ltd.
Fifth Third Securities, Inc.
Imperial Capital, LLC
nabSecurities, LLC
Regions Securities LLC
Santander Investment Securities Inc.
Standard Chartered Bank
SunTrust Robinson Humphrey, Inc.
The Huntington Investment Company
U.S. Bancorp Investments, Inc.
Westpac Capital Markets, LLC
|