Free Writing Prospectus

Filed Pursuant to Rule 433

Registration No. 333-263894

Dated October 24, 2022

 

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Term Sheet

$1,000,000,000 6.361% Fixed Rate/Floating Rate Senior Notes due 2028

This pricing term sheet supplements the preliminary prospectus supplement of Fifth Third Bancorp dated October 24, 2022 relating to the prospectus of Fifth Third Bancorp dated March 28, 2022.

 

Issuer:    Fifth Third Bancorp (the “Issuer”)
Securities:    6.361% Fixed Rate/Floating Rate Senior Notes due 2028 (the “Notes”)
Expected Ratings*:    Baa1 (Moody’s) / BBB+ (S&P) / A- (Fitch) (stable by all)
Currency:    USD
Size:    $1,000,000,000
Securities Type:    SEC Registered Senior Notes
Trade Date:    October 24, 2022
Settlement Date**:    October 27, 2022 (T+3)
Maturity Date:    October 27, 2028
Fixed Rate Period:    From, and including, October 27, 2022 to, but excluding, October 27, 2027
Floating Rate Period:    From, and including, October 27, 2027 to, but excluding, October 27, 2028
Coupon:   

Fixed Rate Period: 6.361% per annum

 

Floating Rate Period: Compounded SOFR, determined as set forth under “Description of the Notes—Floating rate period” in the preliminary prospectus supplement dated October 24, 2022, plus 2.192%

Payment Frequency:   

Fixed Rate Period: Semi-Annually

 

Floating Rate Period: Quarterly

 

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Interest Payment Dates:   

Fixed Rate Period: Every April 27 and October 27, commencing on April 27, 2023 and ending on October 27, 2027

 

Floating Rate Period: January 27, 2028, April 27, 2028, July 27, 2028 and October 27, 2028

Day Count Convention:   

Fixed Rate Period: 30/360

 

Floating Rate Period: Actual/360

Optional Redemption:   

On and after the date that is 180 days after the issue date and prior to October 27, 2027 (one year prior to the Maturity Date), the Issuer may redeem the Notes at its option, in whole or in part at any time and from time to time, at a redemption price (expressed as a percentage of principal amount and rounded to three decimal places) equal to the greater of:

 

(i) (a) the sum of the present values of the remaining scheduled payments of principal and interest thereon discounted to the redemption date (assuming the notes to be redeemed matured on October 27, 2027) on a semi-annual basis (assuming a 360-day year consisting of twelve 30-day months) at the treasury rate (as defined in the preliminary prospectus supplement dated October 24, 2022) plus 30 basis points less (b) interest accrued to the redemption date; and

 

(ii)  100% of the principal amount on the notes to be redeemed;

 

plus in either case, accrued and unpaid interest thereon to, but excluding, the redemption date.

 

In addition, the Notes will be redeemable in whole, but not in part, by the Issuer on October 27, 2027, the date that is one year prior to the Maturity Date, at a redemption price equal to 100% of the principal amount of the Notes, plus accrued and unpaid interest thereon, if any, to, but excluding, the redemption date.

 

In addition, the Notes will be redeemable, in whole or in part, by the Issuer on or after the 30th day prior to the Maturity Date at a redemption price equal to 100% of the principal amount of the Notes being redeemed, plus accrued and unpaid interest thereon, if any, to, but excluding, the redemption date.

Benchmark Treasury:    4.125% U.S. Treasury due September 30, 2027
Benchmark Treasury Spot and Yield:    98-30 ¾; 4.361%
Spread to Benchmark Treasury:    +200 bps
Yield to Maturity:    6.361%

 

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Price to Public:    100.000%
Proceeds (before expenses) to Issuer:    $996,500,000
Denominations:    $2,000 and integral multiples of $1,000 in excess thereof
CUSIP/ISIN:    316773DJ6 / US316773DJ68
Concurrent Offering:    Concurrent with this offering, Fifth Third Bank, the Issuer’s bank subsidiary, is offering $1,000,000,000 of its 5.852% Fixed Rate/Floating Rate Senior Notes due 2025
Joint Book-Running Managers:   

Goldman Sachs & Co. LLC

 

Fifth Third Securities, Inc.

 

Morgan Stanley & Co. LLC

 

RBC Capital Markets, LLC

Co-Managers:   

Academy Securities, Inc.

 

Siebert Williams Shank & Co., LLC

* Note: A securities rating is not a recommendation to buy, sell or hold securities and may be subject to revision or withdrawal at any time.

** It is expected that delivery of the Notes will be made against payment thereof on or about October 27, 2022, which is the third business day following the date hereof (this settlement cycle being referred to as “T+3”). Under Rule 15c6-1 of the Securities Exchange Act of 1934, trades in the secondary market generally are required to settle in two business days, unless the parties to any such trade expressly agree otherwise. Accordingly, purchasers who wish to trade the Notes prior to the second business day before delivery of the Notes will be required, by virtue of the fact that the Notes initially will settle in T+3, to specify alternative settlement arrangements to prevent a failed settlement.

The Issuer has filed a registration statement (including a prospectus) with the SEC for the offering to which this communication relates. Before you invest, you should read the prospectus in that registration statement and other documents the Issuer has filed with the SEC for more complete information about the issuer and this offering. You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov. Alternatively, the Issuer, any underwriter or any dealer participating in the offering will arrange to send you the prospectus if you request it by calling Goldman Sachs & Co. LLC toll-free at 1-866-471-2526, Fifth Third Securities, Inc. toll-free at 1-866-531-5353, Morgan Stanley & Co. LLC toll-free at 1-866-718-1649 and RBC Capital Markets, LLC toll-free at 1-866-375-6829.

ANY DISCLAIMERS OR OTHER NOTICES THAT MAY APPEAR BELOW ARE NOT APPLICABLE TO THIS COMMUNICATION AND SHOULD BE DISREGARDED. SUCH DISCLAIMERS OR OTHER NOTICES WERE AUTOMATICALLY GENERATED AS A RESULT OF THIS COMMUNICATION BEING SENT VIA BLOOMBERG OR ANOTHER E-MAIL SYSTEM.

 

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