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Johnson & Johnson | 8-K: Johnson & Johnson Signed Underwriting Agreements for Issuing U.S. Dollar and Euro Notes

Johnson & Johnson | 8-K: Johnson & Johnson Signed Underwriting Agreements for Issuing U.S. Dollar and Euro Notes

强生 | 8-K:强生签署发行美元和欧元票据的承保协议
美股sec公告 ·  05/20 16:06
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On May 20, 2024, Johnson & Johnson successfully completed a series of public offerings, raising a significant amount of capital through the issuance of various notes. The offerings included $1,150,000,000 of 4.800% Notes due in 2029, $1,150,000,000 of 4.900% Notes due in 2031, $850,000,000 of 4.950% Notes due in 2034, and $850,000,000 of 5.250% Notes due in 2054, collectively known as the U.S. Dollar Notes. Additionally, the company offered Euro Notes, comprising €700,000,000 of 3.200% Notes due in 2032, €800,000,000 of 3.350% Notes due in 2036, and €1,000,000,000 of 3.550% Notes due in 2044. These offerings were made under Johnson & Johnson's Registration Statement on Form S-3. The company entered into underwriting agreements with major financial institutions, including J.P. Morgan Securities LLC, BofA Securities, Inc., Citigroup Global Markets Inc., and others for the U.S. Dollar Notes, and with J.P. Morgan Securities plc, Citigroup Global Markets Limited, Deutsche Bank AG, London Branch, and others for the Euro Notes.
On May 20, 2024, Johnson & Johnson successfully completed a series of public offerings, raising a significant amount of capital through the issuance of various notes. The offerings included $1,150,000,000 of 4.800% Notes due in 2029, $1,150,000,000 of 4.900% Notes due in 2031, $850,000,000 of 4.950% Notes due in 2034, and $850,000,000 of 5.250% Notes due in 2054, collectively known as the U.S. Dollar Notes. Additionally, the company offered Euro Notes, comprising €700,000,000 of 3.200% Notes due in 2032, €800,000,000 of 3.350% Notes due in 2036, and €1,000,000,000 of 3.550% Notes due in 2044. These offerings were made under Johnson & Johnson's Registration Statement on Form S-3. The company entered into underwriting agreements with major financial institutions, including J.P. Morgan Securities LLC, BofA Securities, Inc., Citigroup Global Markets Inc., and others for the U.S. Dollar Notes, and with J.P. Morgan Securities plc, Citigroup Global Markets Limited, Deutsche Bank AG, London Branch, and others for the Euro Notes.
2024年5月20日,强生成功完成了一系列公开募股,通过发行各种票据筹集了大量资金。发行的票据包括2029年到期的1.15亿美元4.800%的票据、11.5亿美元的2031年到期的4.900%票据、2034年到期的8.5亿美元的4.950%票据以及2054年到期的8.5亿美元5.250%的票据,统称为美元票据。此外,该公司还发行了欧元票据,包括7亿欧元的2032年到期的3.200%票据,2036年到期的8亿欧元3.350%的票据,以及2044年到期的1亿欧元3.550%的票据。这些产品是根据强生公司在S-3表格上的注册声明进行的。该公司与主要金融机构签订了美元票据承保协议,包括摩根大通证券有限责任公司、美银证券有限公司、花旗集团环球市场公司和其他机构,并与摩根大通证券有限公司、花旗集团环球市场有限公司、德意志银行股份公司、伦敦分行等签订了欧元票据的承保协议。
2024年5月20日,强生成功完成了一系列公开募股,通过发行各种票据筹集了大量资金。发行的票据包括2029年到期的1.15亿美元4.800%的票据、11.5亿美元的2031年到期的4.900%票据、2034年到期的8.5亿美元的4.950%票据以及2054年到期的8.5亿美元5.250%的票据,统称为美元票据。此外,该公司还发行了欧元票据,包括7亿欧元的2032年到期的3.200%票据,2036年到期的8亿欧元3.350%的票据,以及2044年到期的1亿欧元3.550%的票据。这些产品是根据强生公司在S-3表格上的注册声明进行的。该公司与主要金融机构签订了美元票据承保协议,包括摩根大通证券有限责任公司、美银证券有限公司、花旗集团环球市场公司和其他机构,并与摩根大通证券有限公司、花旗集团环球市场有限公司、德意志银行股份公司、伦敦分行等签订了欧元票据的承保协议。
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