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Procter & Gamble | 424B5: Prospectus

Procter & Gamble | 424B5: Prospectus

宝洁 | 424B5:募资说明书
美股SEC公告 ·  04/24 16:22

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The Procter & Gamble Company (P&G) has announced the issuance of €1,500,000,000 in debt securities, divided into two tranches: €650,000,000 3.150% Notes due 2028 and €850,000,000 3.200% Notes due 2034. The notes are unsecured obligations and will be used for general corporate purposes. The offering is managed by a syndicate of banks, with Citigroup, Deutsche Bank, and HSBC acting as Joint Book-Running Managers. The sale is governed by an indenture dated September 3, 2009, between P&G and Deutsche Bank Trust Company Americas, as trustee. The notes will be issued in registered form without coupons, in denominations of €100,000 and multiples of €1,000. The interest on the notes will accrue from April 29, 2024, and is payable annually in arrears starting April 29, 2025. P&G may redeem the notes at any time at specified redemption prices and under certain conditions involving U.S. taxation. The notes are expected to be listed on the New York Stock Exchange, subject to approval. The offering is expected to close on or about April 29, 2024.
The Procter & Gamble Company (P&G) has announced the issuance of €1,500,000,000 in debt securities, divided into two tranches: €650,000,000 3.150% Notes due 2028 and €850,000,000 3.200% Notes due 2034. The notes are unsecured obligations and will be used for general corporate purposes. The offering is managed by a syndicate of banks, with Citigroup, Deutsche Bank, and HSBC acting as Joint Book-Running Managers. The sale is governed by an indenture dated September 3, 2009, between P&G and Deutsche Bank Trust Company Americas, as trustee. The notes will be issued in registered form without coupons, in denominations of €100,000 and multiples of €1,000. The interest on the notes will accrue from April 29, 2024, and is payable annually in arrears starting April 29, 2025. P&G may redeem the notes at any time at specified redemption prices and under certain conditions involving U.S. taxation. The notes are expected to be listed on the New York Stock Exchange, subject to approval. The offering is expected to close on or about April 29, 2024.
宝洁公司(宝洁)宣布发行15亿欧元的债务证券,分为两部分:6.5亿欧元的2028年到期的3.150%票据和2034年到期的8.5亿欧元3.200%的票据。这些票据是无担保债务,将用于一般公司用途。此次发行由银行集团管理,花旗集团、德意志银行和汇丰银行担任联席账面管理人。此次出售受宝洁与德意志银行美洲信托公司作为受托人于2009年9月3日签订的契约管辖。这些纸币将以不带优惠券的注册形式发行,面额为100,000欧元,倍数为1,000欧元。票据的利息将从2024年4月29日起累计,并从2025年4月29日起每年拖欠支付。宝洁可以随时以指定的赎回价格和涉及美国税收的某些条件下赎回票据。这些票据预计将在纽约证券交易所上市,但尚待批准。此次发行预计将于2024年4月29日左右结束。
宝洁公司(宝洁)宣布发行15亿欧元的债务证券,分为两部分:6.5亿欧元的2028年到期的3.150%票据和2034年到期的8.5亿欧元3.200%的票据。这些票据是无担保债务,将用于一般公司用途。此次发行由银行集团管理,花旗集团、德意志银行和汇丰银行担任联席账面管理人。此次出售受宝洁与德意志银行美洲信托公司作为受托人于2009年9月3日签订的契约管辖。这些纸币将以不带优惠券的注册形式发行,面额为100,000欧元,倍数为1,000欧元。票据的利息将从2024年4月29日起累计,并从2025年4月29日起每年拖欠支付。宝洁可以随时以指定的赎回价格和涉及美国税收的某些条件下赎回票据。这些票据预计将在纽约证券交易所上市,但尚待批准。此次发行预计将于2024年4月29日左右结束。
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