Issuer:
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WSFS Financial Corporation
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Type of Security:
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Senior Notes
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Aggregate Principal Amount:
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$55,000,000.00 | ||
Trade Date:
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August 21, 2012
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Settlement Date (T+4):
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August 27, 2012
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Final Maturity Date:
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September 1, 2019
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Coupon:
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6.25% | ||
Issue Price:
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100.00% | ||
Optional Redemption Date:
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Redeemable, in whole or in part, by the Issuer on September 1, 2017 or on any scheduled interest payment date thereafter, at 100% of the principal amount of the Senior Notes, plus accrued and unpaid interest thereon to the redemption date.
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Interest Payment Dates:
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Quarterly in arrears on the 1st day of each September, December, March and June commencing on December 1, 2012
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Day Count Convention:
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30/360, unadjusted
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Denominations:
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$25 denominations and $25 integral multiples thereof
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CUSIP:
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929328409 | ||
Sole Book-Running Manager:
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Sandler O’Neill + Partners, L.P.
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Co-Lead Manager:
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Keefe, Bruyette & Woods, Inc.
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Co-Managers:
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Boenning & Scattergood, Inc.
Janney Montgomery Scott LLC
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