M & T Bank Corp

NYSE: MTB    
Share price (4/15/24): $140.94    
Market cap (4/15/24): $23.5 billion
1 M & T Bank Corp Expert Interviews, now on BamSEC.
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Underwriting Agreements Filter

EX-1.1
from 8-K 68 pages M&T Bank Corporation Senior Medium-Term Notes, Series a Subordinated Medium-Term Notes, Series B Due Nine Months or More From Date of Issue Distribution Agreement
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EX-1.1
from 8-K 41 pages M&T Bank Corporation (A New York Corporation) $1,000,000,000 5.053% Fixed Rate/Floating Rate Senior Notes Due 2034 Underwriting Agreement
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EX-1.1
from 8-K 40 pages M&T Bank Corporation (A New York Corporation) $500,000,000 4.553% Fixed Rate/Floating Rate Senior Notes Due 2028 Underwriting Agreement
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EX-1.1
from 8-K 38 pages M&T Bank Corporation (A New York Corporation) 500,000 Depositary Shares Each Representing a 1/10th Interest in a Share of Perpetual 3.500% Fixed-Rate Reset Non-Cumulative Preferred Stock, Series I Underwriting Agreement
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EX-1.1
from 8-K 38 pages M&T Bank Corporation (A New York Corporation) 400,000 Depositary Shares Each Representing a 1/10th Interest in a Share of Perpetual Fixed-Rate Reset Non-Cumulative Preferred Stock, Series G Underwriting Agreement
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EX-1.1
from 8-K 40 pages M&T Bank Corporation (A New York Corporation) $500,000,000 3.550% Fixed Rate Senior Notes Due 2023 $250,000,000 Floating Rate Senior Notes Due 2023 Underwriting Agreement
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EX-1.1
from 8-K 38 pages M&T Bank Corporation (A New York Corporation) 500,000 Depositary Shares Each Representing a 1/10th Interest in a Share of Perpetual Fixed-To-Floating Rate Non-Cumulative Preferred Stock, Series F Underwriting Agreement
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EX-1.1
from 8-K 36 pages M&T Bank Corporation (A New York Corporation) 350,000 Shares of Perpetual Fixed-To-Floating Rate Non-Cumulative Preferred Stock, Series E Underwriting Agreement
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EX-1.1
from 8-K 40 pages 1,218,522 Warrants M&T Bank Corporation Underwriting Agreement
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EX-1.1
from 8-K 36 pages M&T Bank Corporation (A New York Corporation) 230,000 Shares of Fixed Rate Cumulative Perpetual Preferred Stock, Series a 151,500 Shares of Fixed Rate Cumulative Perpetual Preferred Stock, Series C Underwriting Agreement
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EX-1.1
from 8-K 28 pages Contingent Mandatorily Exchangeable Notes Indemnity Agreement Among M&T Bank Corporation, and Citigroup Global Markets Inc. and Morgan Stanley & Co. Incorporated, as Managers, Acting on Behalf of the Several Underwriters Named in Schedule I Hereto Dated as of October 6, 2010 Contingent Mandatorily Exchangeable Notes Indemnity Agreement
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EX-1.1
from 8-K 38 pages M&T Capital Trust IV 8.500% Enhanced Trust Preferred Securities (Liquidation Amount $25 Per Security) Fully and Unconditionally Guaranteed on a Subordinated Basis, by M&T Bank Corporation Underwriting Agreement
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EX-1.1
from 8-K 32 pages M&T Bank Corporation 5.375% Senior Notes Due 2012 Underwriting Agreement
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EX-1.C
from S-3 ~20 pages Ex-1(c) Form of Underwriting Agreement - Capital Securities
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EX-1.B
from S-3 ~20 pages Ex-1(b) Form of Underwriting Agreement - Debt Securities
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EX-1.A
from S-3 ~20 pages Ex-1(A) Form of Underwriting Agreement
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EX-1.1
from S-3/A ~20 pages Underwriting Agreement
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EX-1.1
from S-3 ~20 pages Underwriting Agreement
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EX-1.1
from 8-K ~20 pages Underwriting Agreement
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EX-1.1
from S-3 ~20 pages Exhibit 1.1 (Form of Underwriting Agmt)
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