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{"created_at":"2026-04-22T03:03:32.063 {"created_at":"2026-04-22T03:03:32.063787+00:00","dedupe_key":"signal_enriched:discovery_sec_filing_delta:4476265d1e46f164","evidence_event_ids":["evt_d665660625de"],"signal_type":"discovery_sec_filing_delta","source":"discovery_sec_filings","value":{"aggregator_url":"https://www.sec.gov/Archives/edgar/data/93751/0001193125-26-165222.txt","as_of":"2026-04-22T03:03:32.063787+00:00","canonical_url":"https://www.sec.gov/Archives/edgar/data/93751/0001193125-26-165222.txt","company":"STATE STREET CORP","enrichment":{"aggregator_url":"https://www.sec.gov/Archives/edgar/data/93751/0001193125-26-165222.txt","article_chars":5000,"article_truncated":true,"blocked_reason":null,"candidate_id":"sc_62973feeb2d56049","canonical_host":"sec.gov","canonical_is_aggregator":false,"canonical_url":"https://www.sec.gov/Archives/edgar/data/93751/0001193125-26-165222.txt","content_type":"text/plain","enriched_at":"2026-04-22T03:23:32.291744+00:00","extraction_method":"trafilatura","fetched_description":"","fetched_title":"424B5","final_url":"https://www.sec.gov/Archives/edgar/data/93751/0001193125-26-165222.txt","html_truncated":true,"paywall_likely":false,"publisher_domain":"sec.gov","publisher_resolution":"canonical_url","requested_url":"https://www.sec.gov/Archives/edgar/data/93751/0001193125-26-165222.txt","source_event_id":"evt_d665660625de","source_quality":"high","status_code":200,"version":"signal_enrichment_v2"},"form_type":"424B5","fp":"e277d7bd75c91962","kind":"sec_filing","published_at":"20260421","publisher_domain":"sec.gov","signal_understanding":{"analysis_basis":"article","claim_confidence":0.78,"dates_mentioned":["2026-04-21","2026","2031","2032","2036","2037","2025-06-20"],"entities":[{"asset_class":"equity/issuer (bank holding company)","name":"State Street Corporation","relevance":"high","symbol":"","type":"issuer"},{"asset_class":"bank subsidiary","name":"State Street Bank and Trust Company","relevance":"medium","symbol":"","type":"subsidiary"},{"asset_class":"depository","name":"The Depository Trust Company (DTC)","relevance":"medium","symbol":"","type":"clearing_system"},{"asset_class":"depository","name":"Euroclear Bank SA/NV","relevance":"medium","symbol":"","type":"clearing_system"},{"asset_class":"depository","name":"Clearstream Banking S.A.","relevance":"medium","symbol":"","type":"clearing_system"},{"asset_class":"interest_rate_benchmark","name":"SOFR (Secured Overnight Financing Rate)","relevance":"high","symbol":"","type":"benchmark_rate"}],"event_type":"listing","information_gaps":["The cleaned text contains blanks for key offering amounts (aggregate principal amounts), maturity dates (exact day/month), fixed interest rates (shown as %), SOFR spread (shown as %), and specific interest payment dates (shown as blanks).","The signal is described as a \u201cdelta,\u201d but no prior known state or comparison document is provided, so the exact change vs prior state cannot be determined from the provided text alone.","The SEC filing timestamp in the deterministic context is 2026-04-22T03:03:32.063787+00:00, but the document text shows a preliminary prospectus supplement dated April 21, 2026; the relationship between these timestamps is not explicitly explained in the provided text."],"key_facts":["The filing is made pursuant to Rule 424(b)(5) under Registration No. 333-288196.","The preliminary prospectus supplement is dated April 21, 2026 and relates to a prospectus dated June 20, 2025.","The offering is of fixed-to-floating rate senior notes due 2032 (the \u201c2032 notes\u201d) and fixed-to-floating rate senior notes due 2037 (the \u201c2037 notes\u201d).","The 2032 notes mature in 2032 and bear interest at a fixed annual rate for a period from 2026 to 2031, then bear interest at a floating rate based on SOFR compounded daily over a quarterly interest payment period plus a spread, payable quarterly in arrears.","The 2037 notes mature in 2037 and bear interest at a fixed annual rate for a period from 2026 to 2036, then bear interest at a floating rate based on SOFR compounded daily over a quarterly interest payment period plus a spread, payable quarterly in arrears.","There is an option to redeem each series of notes in whole (not in part) on specified dates (2031 for 2032 notes; 2036 for 2037 notes) at 100% of principal plus accrued and unpaid interest to (but excluding) the redemption date.","There is no sinking fund for the notes.","The notes are unsecured and rank equally with existing and future senior unsecured indebtedness of State Street.","The notes are not bank deposits and are not insured by the FDIC or any other governmental agency; they are not obligations of, or guaranteed by, a bank.","The notes will not be listed on any securities exchange and there are currently no public trading markets for the notes.","The underwriters expect to deliver the notes in book-entry form only through DTC and its direct participants, including Euroclear and Clearstream, on or about (date not shown in cleaned text)."],"numeric_claims":[{"label":"redemption price","value":"100% of principal"}],"primary_claim":"State Street filed Form 424B5 for a preliminary prospectus supplement related to an offering of fixed-to-floating rate senior notes due 2032 and 2037.","relevance_score":0.62,"sentiment":"neutral","source_quality":"high","summary":"State Street Corporation filed a preliminary prospectus supplement on Form 424B5 for an offering of fixed-to-floating rate senior notes due 2032 and 2037. The filing describes note terms including fixed-to-floating interest mechanics, optional redemption, and settlement in book-entry form.","topics":["SEC filing","Form 424B5","senior notes offering","fixed-to-floating interest rates","SOFR","optional redemption","book-entry settlement","risk factors"]},"source":"sec_edgar","source_domain":"sec.gov","summary":"Form 424B5 \u00b7 STATE STREET CORP \u00b7 Filed 20260421","ticker":"STT","tickers":["STT"],"title":"STT filed 424B5","url":"https://www.sec.gov/Archives/edgar/data/93751/0001193125-26-165222.txt"}}... |