NuStar Logistics 7.625% Fixed to Floating Rate Subordinated Notes (NSS)

By: ,


S&P Rating  B+

Security Ticker Symbol   NSS


Market Traded ON   NYSE

Interest Payment Paid on the 1st of January, April, July and October beginning on 04/15/2013

Beginning on 4/15/2018 interest will be paid at a rate of 3 month libor plus 6.734%

Quarterly Interest   .477   Annual Interest   1.906

Securities may be redeemed, at the issuers option, as early as 01/15/2018 for a redemption price of $25/share plus accrued interest


Interest Payment Will NOT be Qualified Distributions

Maturity Date   01/15/2043


Company Investor Relations Page for NuStar Logistics (a Division of NuStar Energy LP)

Click here to find the offering Prospectus



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