First Citizens Bank Limited
Address:
Ground Floor - First Citizens Corporate Centre
9 Queen's Park East
Port of Spain
Country: Trinidad and Tobago
Contact:
Tel: (868) 624-3178
Registrant Information
| Registration Type | Registration Date | Date of Regularization | Authorized Activities |
|---|---|---|---|
| Broker-Dealer | 11-Jan-08 | 12-Oct-15 | Broker-Dealer as Agent, Broker-Dealer as Principal, and Underwriter |
| Reporting Issuer | 14-Jan-99 |
| Securities Information | ||
|---|---|---|
| Equity | ||
| 12 July 2013 | 251,353,562 | 251,353,562 Ordinary Shares of First Citizens Bank Limited Pursuant to its Initial Public Offering |
| 9 March 2017 | 48,495,665 | 48,495,665 Ordinary Shares of First Citizens Bank Limited pursuant to an Additional Public Offering |
| Debt | ||
| 10 February 2000 | TT$100,000,000 | Floating Rate Bond due 2015 - Series C |
| 10 February 2000 | TT$100,000,000 | Floating Rate Bond due 2010 - Series B |
| 10 February 2000 | TT$100,000,000 | 12% Fixed Rate Bond due 2007 -Series A |
| 10 March 2020 | US$125,000,000 | US$125M 4.25% Fixed Rate Bond due 2025 |
| 11 October 2012 | TT$65,245,507 | First Citizens Bank Limited TT$65,245,507 (Face Value) Certificates of Interest in National Insurance Property Development Company Limited Fixed Rate Bonds |
| 11 October 2021 | US$63,181,250 | US$63,181,250 Certificates of Interest in Caribbean Airlines Limited US$50M Government Guaranteed 5.55% Fixed Rate Bond due 2029 |
| 12 April 2021 | TT$1,394,250,000.00 | Certificates of Interest in Tranche 1 & Tranche 2 of Government of Trinidad and Tobago TT$2B Triple Tranche Fixed Rate Bonds |
| 13 October 2015 | TT$900,000,000 | First Citizens Bank Limited TT$900 Million Fixed Rate Bonds due 2022 |
| 17 July 2014 | TT$500,000,000 | First Citizens Bank Limited TT$500,000,000 Term Notes |
| 19 April 2024 | TT$1,000,000,000 | First Citizens Bank Limited TT$1 Billion Fixed Rate Bonds Due 2030 |
| 22 January 2021 | TT$1,558,625,000 | First Citizens Bank Limited's Certificates of Participation in Government of the Republic of Trinidad and Tobago TT$1,000,000,000 5.45% Fixed Rate Bonds due 2040 |
| 22 July 2008 | TT$500,000,000 | 8.35% Fixed Rate Bonds due 2014 |
| 23 January 2018 | US$90,400,000 | First Citizens Bank Limited US$90,400,000 Fixed Rate Bonds Due 2023 |
| 26 September 2002 | TT$200,000,000 | 7.45% Fixed Rate Bond due 2013 - Series B |
| 26 September 2002 | TT$300,000,000 | 7.45% Fixed Rate Serial Bonds due 2012- Series A |
| 27 July 2010 | TT$500,000,000 | FCB TT$500 Million 5.25% Fixed Rate Bond due 2017 |
| 30 September 2008 | TT$500,000,000 | 8.45% Fixed Rate Bond due 2015 |
| 30 September 2011 | TT$72,083,099.49 | First Citizens Bank Limited TT$72,083,099.49 (Face Value) Certificates of Interest in Public Transport Service Corporation 5.95% Fixed Rate Bond 2020 |
| 6 January 2022 | TT$1,629,250,000 | Certificates of Participation in Tranche 1 and Tranche 2 of the Government of the Republic of Trinidad and Tobago TT$2 Billion Triple Tranche Fixed Rate Bonds |
| 9 April 2018 | TT$860,755,000 | First Citizens Bank Limited TT$860,755,000 Fixed Rate Bonds Due 2024 |
| Collective Investment Schemes | ||
| 14 January 1999 | First Citizens Bank Retirement Provider | |