| 8/13/2024 | IG | New Issue: UDR prices $300 million of 5.125% medium-term notes due 2034
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| 8/12/2024 | IG | UDR readies offering of fixed-rate medium-term notes
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| 9/15/2021 | IG | New Issue: UDR sells upsized $200 million tap of notes due 2031 at 95 bps spread
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| 9/15/2021 | IG | UDR to sell $115 million add-on to 3% notes due 2031; price talk Treasuries plus 115 bps area
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| 9/15/2021 | IG | UDR intends to sell add-on to 3% notes due 2031 via two bookrunners
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| 2/11/2021 | IG | New Issue: UDR sells $300 million 2.1% guaranteed notes due 2033 at 100 bps over Treasuries
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| 2/11/2021 | IG | UDR intends to sell fixed-rate medium-term notes via six bookrunners
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| 11/30/2020 | IGLM | UDR to redeem $183 million 3.75% notes due 2024 via new notes
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| 11/30/2020 | GNIG | New Issue: UDR sells $350 million 1.9% guaranteed green notes due 2033 at 110 bps over Treasuries
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| 11/30/2020 | GNIG | UDR plans sale of fixed-rate medium-term notes via five bookrunners
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| 7/21/2020 | IGLM | UDR gives tender offer results for 3.75% notes due 2024
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| 7/20/2020 | IGLM | UDR prices cash tender offer for $300 million 3.75% notes due 2024
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| 7/14/2020 | IG | New Issue: UDR prices $400 million of 2.1% guaranteed notes due 2032 at 150 bps spread
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| 7/14/2020 | IGLM | UDR begins cash tender offer for any and all 3.75% notes due 2024
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| 7/14/2020 | IG | UDR intends to sell fixed-rate medium-term notes via five bookrunners
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| 2/19/2020 | IG | Market Commentary: Otis, BP, Tennessee Gas, Halliburton, KLA, Omnicom, UDR tap primary; SSA supply ahead
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| 2/19/2020 | IG | New Issue: UDR prices $200 million tap of 3.2% guaranteed notes due 2030 at 97 bps spread
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| 2/19/2020 | IG | UDR to sell add-on to 3.2% notes due 2030 via two bookrunners
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| 2/12/2020 | BKBWGNIGLM | UDR extends average debt duration to seven years through refi actions
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| 10/2/2019 | GNIG | New Issue: UDR prices $400 million of guaranteed medium-term notes in two parts
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| 10/2/2019 | GNIG | UDR to sell add-on to notes and green notes via four bookrunners
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| 8/6/2019 | IG | New Issue: UDR sells $400 million 3% guaranteed notes due 2031 at 130 bps spread
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| 8/6/2019 | IG | UDR offers fixed-rate medium-term notes via three bookrunners
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| 6/25/2019 | IG | New Issue: UDR prices $300 million 3.2% guaranteed notes due 2030 at 125 bps over Treasuries
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| 6/25/2019 | IG | UDR to price guaranteed series A MTNs via two bookrunners
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| 10/17/2018 | IG | Market Commentary: Nuveen prices $1 billion; Ferguson, UDR, IADB tap primary; Municipality Finance eyes deal
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| 10/17/2018 | IG | New Issue: UDR prices $300 million 4.4% medium-term notes due 2029 at 123 bps over Treasuries
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| 10/17/2018 | IG | UDR proposes to sell series A medium-term notes via two bookrunners
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| 11/29/2017 | IG | New Issue: UDR prices $300 million 3.5% 10-year medium-term notes at 117 bps over Treasuries
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| 11/29/2017 | IG | UDR markets series A medium-term notes via three bookrunners
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| 6/7/2017 | IG | New Issue: UDR prices $300 million 3.5% 10-year medium-term notes at 135 bps over Treasuries
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| 1/23/2017 | IG | UDR establishes a $500 million commercial paper note program
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| 8/16/2016 | IG | Market Commentary: Standard Chartered, Societe Generale, Entergy tap market; credit spreads ease; Fidelity flat
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| 8/16/2016 | IG | New Issue: UDR sells $300 million 2.95% 10-year medium-term notes at 137.5 bps over Treasuries
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