Issuer:
|
Bancolombia
S.A.
|
Title
of Security:
|
6.125%
Subordinated Notes due 2020
|
Security
Type:
|
SEC
Registered
|
Principal
Amount:
|
US$620,000,000
|
Maturity
Date:
|
July
26, 2020
|
Optional
Redemption
|
None
|
Interest
Payment Dates:
|
Each
January 26 and July 26, commencing January 26, 2011
|
Yield
to Maturity:
|
6.341%
|
Coupon:
|
6.125%
|
Price
to Public:
|
98.418%
|
Benchmark
Treasury:
|
3.500%
due May 15, 2020
|
Benchmark
Treasury Yield:
|
2.966%
|
Spread
to Benchmark Treasury:
|
337.5
basis points
|
Pricing
Date
|
July
19, 2010
|
Expected
Settlement Date:
|
July
26, 2010 (T+5)
|
CUSIP
Number:
|
05968LAB8
|
ISIN
Number:
|
US05968LAB80
|
Day/Count:
|
30/360
|
Minimum
Denominations
|
US$2,000
x US$1,000
|
Listing:
|
Issuer
has applied to list the notes on the New York Stock
Exchange
|
Ratings:1
|
Baa3
(Moodys) /BB+ (Fitch)
|
Bookrunners:
|
Banc
of America Securities LLC
J.P.
Morgan Securities Inc.
|