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Market: BK = Bank loans, CV = Convertibles, DD = Distressed Debt, EM = Emerging Markets, HY = High Yield, IG = Investment Grade, LM = Liability Management, MU = Municipals, PP = PIPEs, PF = Preferreds, PV = Private Placements, SP = Structured Products
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Fifth Third Bank
4/30/2021
IGLM
Fifth Third issues early redemption notice for bank notes due in July
3/19/2021
IGLM
Fifth Third calls floaters due 2021, 2.25% notes due 2021 at par
8/10/2020
IGLM
Fifth Third to redeem all 2.2% fixed rate senior notes due Oct. 30
6/8/2018
IGLM
Fifth Third Bank to redeem all 2.15%, floating-rate notes due Aug. 20
9/2/2016
IGLM
Fifth Third to redeem 1.15%, floating-rate bank notes due Nov. 18
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