Ratings On Commerzbank's $10 Billion U.S. Dollar Medium-Term Note Program Withdrawn At The Issuer's Request - S&P Global Ratings’ Credit Research

Ratings On Commerzbank's $10 Billion U.S. Dollar Medium-Term Note Program Withdrawn At The Issuer's Request

Ratings On Commerzbank's $10 Billion U.S. Dollar Medium-Term Note Program Withdrawn At The Issuer's Request - S&P Global Ratings’ Credit Research
Ratings On Commerzbank's $10 Billion U.S. Dollar Medium-Term Note Program Withdrawn At The Issuer's Request
Published Jan 10, 2024
2 pages (1113 words) — Published Jan 10, 2024
Price US$ 150.00  |  Buy this Report Now

About This Report

  
Abstract:

FRANKFURT (S&P Global Ratings) Jan. 10, 2024--S&P Global Ratings today said it withdrew its 'A-/A-2' long- and short-term issue ratings on Commerzbank AG's $10 billion U.S. dollar medium-term note program at the issuer's request. General Criteria: Hybrid Capital: Methodology And Assumptions, March 2, 2022 Criteria Financial Institutions General: Financial Institutions Rating Methodology, Dec. 9, 2021 Criteria Financial Institutions Banks: Banking Industry Country Risk Assessment Methodology And Assumptions, Dec. 9, 2021 General Criteria: Environmental, Social, And Governance Principles In Credit Ratings, Oct. 10, 2021 General Criteria: Group Rating Methodology, July 1, 2019 Criteria Financial Institutions General: Risk-Adjusted Capital Framework Methodology, July 20, 2017 General Criteria: Methodology For Linking Long-Term And Short-Term Ratings, April 7, 2017

  
Brief Excerpt:

...- General Criteria: Hybrid Capital: Methodology And Assumptions, March 2, 2022 - Criteria | Financial Institutions | General: Financial Institutions Rating Methodology, Dec. 9, 2021 - Criteria | Financial Institutions | Banks: Banking Industry Country Risk Assessment Methodology And Assumptions, Dec. 9, 2021 - General Criteria: Environmental, Social, And Governance Principles In Credit Ratings, Oct. 10, 2021 - General Criteria: Group Rating Methodology, July 1, 2019 - Criteria | Financial Institutions | General: Risk-Adjusted Capital Framework Methodology, July 20, 2017 - General Criteria: Methodology For Linking Long-Term And Short-Term Ratings, April 7, 2017 - General Criteria: Principles Of Credit Ratings, Feb. 16, 2011...

  
Report Type:

Ratings Action

Ticker
CBK@GR
Issuer
GICS
Diversified Banks (40101010)
Sector
Global Issuers, Public Finance, Structured Finance
Country
Region
United States
Format:
PDF Adobe Acrobat
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S&P Global Ratings’ Credit Research—S&P Global Ratings’ credit research provides analysis on issuers and debt obligations of corporations, states and municipalities, financial institutions, insurance companies and sovereign governments. S&P Global Ratings also offers insight into the credit risk of structured finance deals, providing an independent view of credit risk associated with a growing array of debt-securitized instruments.

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Cite this Report

  
MLA:
S&P Global Ratings’ Credit Research. "Ratings On Commerzbank's $10 Billion U.S. Dollar Medium-Term Note Program Withdrawn At The Issuer's Request" Jan 10, 2024. Alacra Store. May 13, 2025. <http://www.alacrastore.com/s-and-p-credit-research/Ratings-On-Commerzbank-s-10-Billion-U-S-Dollar-Medium-Term-Note-Program-Withdrawn-At-The-Issuer-s-Request-3108606>
  
APA:
S&P Global Ratings’ Credit Research. (). Ratings On Commerzbank's $10 Billion U.S. Dollar Medium-Term Note Program Withdrawn At The Issuer's Request Jan 10, 2024. New York, NY: Alacra Store. Retrieved May 13, 2025 from <http://www.alacrastore.com/s-and-p-credit-research/Ratings-On-Commerzbank-s-10-Billion-U-S-Dollar-Medium-Term-Note-Program-Withdrawn-At-The-Issuer-s-Request-3108606>
  
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