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UnitedHealth | 424B5: Prospectus

UnitedHealth | 424B5: Prospectus

联合健康 | 424B5:募资说明书
美股SEC公告 ·  03/20 16:48

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UnitedHealth Group Incorporated has announced the issuance of $6 billion in notes, divided into six tranches with varying interest rates and maturity dates ranging from 2027 to 2064. The notes, which are unsecured obligations, will rank equally with the company's other unsecured and unsubordinated indebtedness. Interest on the notes will be payable semi-annually, with the first payment commencing on October 15, 2024. The offering involves several joint book-running managers, including BofA Securities, Barclays, J.P. Morgan, and Mizuho, among others. The proceeds from the sale of the notes are intended for general corporate purposes, which may include refinancing short-term borrowings, redeeming, repurchasing, or repaying outstanding securities. The notes will be issued under an existing shelf registration process, and the underwriters have the option to purchase additional notes under certain conditions. The announcement also details the underwriting discounts and the public offering price for each tranche of notes.
UnitedHealth Group Incorporated has announced the issuance of $6 billion in notes, divided into six tranches with varying interest rates and maturity dates ranging from 2027 to 2064. The notes, which are unsecured obligations, will rank equally with the company's other unsecured and unsubordinated indebtedness. Interest on the notes will be payable semi-annually, with the first payment commencing on October 15, 2024. The offering involves several joint book-running managers, including BofA Securities, Barclays, J.P. Morgan, and Mizuho, among others. The proceeds from the sale of the notes are intended for general corporate purposes, which may include refinancing short-term borrowings, redeeming, repurchasing, or repaying outstanding securities. The notes will be issued under an existing shelf registration process, and the underwriters have the option to purchase additional notes under certain conditions. The announcement also details the underwriting discounts and the public offering price for each tranche of notes.
UnitedHealth Group Incorporated宣布发行60亿美元的票据,分为六批票据,利率各不相同,到期日从2027年到2064年不等。这些票据是无抵押债务,其排名将与公司的其他无抵押和无次级债务相同。票据的利息将每半年支付一次,第一笔款项将于2024年10月15日开始。此次发行涉及多家联席账面管理公司,包括美银证券、巴克莱、摩根大通和瑞穗等。出售票据的收益用于一般公司用途,其中可能包括为短期借款再融资、赎回、回购或偿还未偿还证券。这些票据将在现有的货架注册程序下发行,承销商可以选择在某些条件下购买更多票据。该公告还详细说明了每批票据的承保折扣和公开发行价格。
UnitedHealth Group Incorporated宣布发行60亿美元的票据,分为六批票据,利率各不相同,到期日从2027年到2064年不等。这些票据是无抵押债务,其排名将与公司的其他无抵押和无次级债务相同。票据的利息将每半年支付一次,第一笔款项将于2024年10月15日开始。此次发行涉及多家联席账面管理公司,包括美银证券、巴克莱、摩根大通和瑞穗等。出售票据的收益用于一般公司用途,其中可能包括为短期借款再融资、赎回、回购或偿还未偿还证券。这些票据将在现有的货架注册程序下发行,承销商可以选择在某些条件下购买更多票据。该公告还详细说明了每批票据的承保折扣和公开发行价格。
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