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McDonald's | 424B2: Prospectus

McDonald's | 424B2: Prospectus

麦当劳 | 424B2:募资说明书
美股sec公告 ·  05/15 15:46
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McDonald's Corporation has announced the issuance of Medium-Term Fixed Rate Notes due in five years, with the principal amount set at USD 500,000,000. The notes, priced at 99.624% of their principal amount, will be issued on May 17, 2024, with a stated maturity date of May 17, 2029. The interest rate is fixed at 5.000% per annum, with interest payments to be made semi-annually on May 17 and November 17, starting from November 17, 2024. The notes are book-entry and can be optionally redeemed by the company before the stated maturity date. The redemption price will be the greater of a calculated sum based on the Treasury Rate plus 10 basis points or 100% of the principal amount, with additional terms applying if redeemed before the Par Call Date...Show More
McDonald's Corporation has announced the issuance of Medium-Term Fixed Rate Notes due in five years, with the principal amount set at USD 500,000,000. The notes, priced at 99.624% of their principal amount, will be issued on May 17, 2024, with a stated maturity date of May 17, 2029. The interest rate is fixed at 5.000% per annum, with interest payments to be made semi-annually on May 17 and November 17, starting from November 17, 2024. The notes are book-entry and can be optionally redeemed by the company before the stated maturity date. The redemption price will be the greater of a calculated sum based on the Treasury Rate plus 10 basis points or 100% of the principal amount, with additional terms applying if redeemed before the Par Call Date of April 17, 2029. After the Par Call Date, the notes can be redeemed at 100% of the principal amount plus accrued interest. The offering involves several financial institutions as joint bookrunners and co-managers, with BofA Securities, Inc., MUFG Securities Americas Inc., RBC Capital Markets, LLC, and U.S. Bancorp Investments, Inc. leading the distribution of the notes. The notes are not subject to a sinking fund and are not considered amortizing notes. The net proceeds to McDonald's from the issuance are 99.274% of the principal amount after accounting for an agents' discount of 0.350%. The notes have been assigned CUSIP number 58013MFX7 and ISIN US58013MFX74.
麦当劳公司宣布发行五年后到期的中期固定利率票据,本金定为5亿美元。这些票据定价为本金的99.624%,将于2024年5月17日发行,规定的到期日为2029年5月17日。利率固定为每年5.000%,从2024年11月17日开始,每半年在5月17日和11月17日支付利息。这些票据是账面记账的,公司可以选择在规定的到期日之前兑换。赎回价格将是根据美国国债利率计算出的金额加上10个基点或本金的100%中的较大值,如果在2029年4月17日的面值收回日之前兑换,则适用其他条款。在面值赎回日之后,票据可以按本金的100%加上应计利息进行兑换。本次发行涉及多家金融机构作为联席账簿管理人和联席管理人,美银证券...展开全部
麦当劳公司宣布发行五年后到期的中期固定利率票据,本金定为5亿美元。这些票据定价为本金的99.624%,将于2024年5月17日发行,规定的到期日为2029年5月17日。利率固定为每年5.000%,从2024年11月17日开始,每半年在5月17日和11月17日支付利息。这些票据是账面记账的,公司可以选择在规定的到期日之前兑换。赎回价格将是根据美国国债利率计算出的金额加上10个基点或本金的100%中的较大值,如果在2029年4月17日的面值收回日之前兑换,则适用其他条款。在面值赎回日之后,票据可以按本金的100%加上应计利息进行兑换。本次发行涉及多家金融机构作为联席账簿管理人和联席管理人,美银证券有限公司、三菱日联证券美洲公司、加拿大皇家银行资本市场有限责任公司和美国万国银行投资公司牵头发行票据。这些票据不受偿债基金的约束,也不被视为摊销票据。扣除代理商0.350%的折扣后,此次发行给麦当劳的净收益为本金的99.274%。这些票据的编号为 58013MFX7 的 CUSIP 编号为 58013MFX7,ISIN 为 US58013MFX74。
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