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Verizon | 424B2: Prospectus

Verizon | 424B2: Prospectus

Verizon | 424B2:募资说明书
美股SEC公告 ·  05/13 14:24
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Verizon Communications Inc. has successfully completed a pricing supplement under Rule 424(b)(2) with File No. 333-267245, as detailed in the document dated May 13, 2024. The offering, which was open from May 6 through May 13, 2024, included two tranches of Senior Unsecured Notes with CUSIP numbers 92346MND9 and 92346MNE7. The first tranche, amounting to $923,000, carries a fixed coupon rate of 5.000% and matures on May 15, 2029, with the first coupon payment scheduled for November 15, 2024. The second tranche, totaling $949,000, has a fixed coupon rate of 5.150% and a maturity date of May 15, 2034, with the same initial coupon payment date. Both notes are callable, with the first callable on May 15, 2025, and the second on May 15, 2026. The notes were sold at 100% of their principal amount, with net proceeds of $911,462.50 and $931,918.00, respectively, after accounting...Show More
Verizon Communications Inc. has successfully completed a pricing supplement under Rule 424(b)(2) with File No. 333-267245, as detailed in the document dated May 13, 2024. The offering, which was open from May 6 through May 13, 2024, included two tranches of Senior Unsecured Notes with CUSIP numbers 92346MND9 and 92346MNE7. The first tranche, amounting to $923,000, carries a fixed coupon rate of 5.000% and matures on May 15, 2029, with the first coupon payment scheduled for November 15, 2024. The second tranche, totaling $949,000, has a fixed coupon rate of 5.150% and a maturity date of May 15, 2034, with the same initial coupon payment date. Both notes are callable, with the first callable on May 15, 2025, and the second on May 15, 2026. The notes were sold at 100% of their principal amount, with net proceeds of $911,462.50 and $931,918.00, respectively, after accounting for selling concessions. The settlement date for the notes is set for May 16, 2024, and they will be available in minimum denominations of $1,000. The offering was managed by InspereX with several notable agents including BofA Securities, Citigroup, Morgan Stanley, RBC Capital Markets, and Wells Fargo Advisors. The Verizon InterNotes® will be represented by a Master Note in fully registered form and will be deposited with DTC or another depository as may be named later.
Verizon Communications Inc.已成功完成了第424(b)(2)条规定的定价补充,文件编号为333-267245,详见2024年5月13日的文件。此次发行于2024年5月6日至5月13日开放,包括两批CUSIP编号为 92346MND9 和 92346MNE7 的优先无抵押票据。第一批债券总额为92.3万美元,固定票面利率为5.000%,将于2029年5月15日到期,第一笔票息定于2024年11月15日支付。第二批总额为94.9万美元,固定票面利率为5.150%,到期日为2034年5月15日,初始息票还款日期相同。这两张票据均可赎回,第一张可赎回于2025年5月15日,第...展开全部
Verizon Communications Inc.已成功完成了第424(b)(2)条规定的定价补充,文件编号为333-267245,详见2024年5月13日的文件。此次发行于2024年5月6日至5月13日开放,包括两批CUSIP编号为 92346MND9 和 92346MNE7 的优先无抵押票据。第一批债券总额为92.3万美元,固定票面利率为5.000%,将于2029年5月15日到期,第一笔票息定于2024年11月15日支付。第二批总额为94.9万美元,固定票面利率为5.150%,到期日为2034年5月15日,初始息票还款日期相同。这两张票据均可赎回,第一张可赎回于2025年5月15日,第二张可在2026年5月15日赎回。这些票据按本金的100%出售,扣除销售优惠后,净收益分别为911,462.50美元和931,918.00美元。这些票据的结算日期定为2024年5月16日,最低面额为1,000美元。此次发行由InspereX管理,包括美银证券、花旗集团、摩根士丹利、加拿大皇家银行资本市场和富国银行顾问在内的几家知名代理商。Verizon InterNotes® 将由一份以完全注册形式的主票据代表,并将存放在DTC或稍后可能指定的其他存管机构。
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