NuStar Energy L.P. 7.625% Series B Fixed-to-Floating Rate Cumulative Redeemable Perpetual Preferred Units
By: Tim McPartland,
Date Issued 04/24/2017
Units Sold 14,000,000 Overallotment Units 1,400,000
S&P Rating NR Moodys Rating NR
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Security Ticker Symbol NS-B OTC Grey Market NUSRP
Market Traded ON NYSE
Dividend Payment Paid on the 15th of March, June, September and December beginning on 09/15/2017
Quarterly Dividend .477 Annual Dividend 1.906
After 6/15/2022 the coupon will float at 3 month Libor plus 5.643%
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Securities may be redeemed, at the issuers option, as early as 6/15/2022 for a redemption price of $25/share plus accrued dividends
Dividend Payment will not be a Qualified Distribution
Maturity Date None
Company Investor Relations Page for NuStar Energy