Sept 22(Reuters) -Following are terms and conditions
of a dual tranche deal priced on Monday.
Borrower BP Capital Markets Plc
Guarantor BP Plc
* * * *
Tranche 1
Issue Amount 1.15 billion euro
Maturity Date September 26, 2022
Coupon 1.526 pct
Issue price Par
Reoffer price Par
Yield 1.526 pct
ISIN XS1114477133
* * * *
Tranche 2
Issue Amount 850 million euro
Maturity Date September 25, 2026
Coupon 2.213 pct
Issue price Par
Reoffer price Par
Yield 2.213 pct
ISIN XS1114473579
* * * *
Common terms
Payment Date September 25, 2014
Lead Manager(s) BAML, CMZ, Deutsche Bank, Santander, Societe Generale &
SMBC Nikko
Ratings A2 (Moody's)
Listing London
Full fees Undisclosed
Denoms (K) 100-1
Governing Law English
Notes Launched under issuer's DIP programme
Security details and RIC, when available, will be
on
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