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Applied Materials | 424B2: Prospectus

Applied Materials | 424B2: Prospectus

应用材料 | 424B2:募资说明书
美股sec公告 ·  06/07 16:19
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Applied Materials, Inc. announced the issuance of $700 million in 4.800% Senior Notes due June 15, 2029. Interest on these notes will be payable semi-annually on June 15 and December 15, starting December 15, 2024. The company may redeem the notes at any time before maturity at the redemption prices described in the prospectus supplement. The notes are offered globally and are unsecured obligations, ranking equally with the company's other unsecured and unsubordinated debt. The public offering price per note is 99.806%, with an underwriting discount of 0.350%, resulting in proceeds to Applied Materials, Inc. before expenses of 99.456%, totaling $696,192,000. The offering is expected to close on or about June 11, 2024, with BofA Securities, J.P. Morgan, Citigroup, Mizuho, MUFG, and Wells Fargo Securities acting as Joint Book-Running Managers. The offering involves risks, detailed in the 'Risk Factors' section starting on page S-6 of the prospectus supplement. The notes will be delivered to investors in registered book-entry form through The Depository Trust Company and its participants, including Clearstream Banking S.A. and Euroclear Bank, SA/NV.
Applied Materials, Inc. announced the issuance of $700 million in 4.800% Senior Notes due June 15, 2029. Interest on these notes will be payable semi-annually on June 15 and December 15, starting December 15, 2024. The company may redeem the notes at any time before maturity at the redemption prices described in the prospectus supplement. The notes are offered globally and are unsecured obligations, ranking equally with the company's other unsecured and unsubordinated debt. The public offering price per note is 99.806%, with an underwriting discount of 0.350%, resulting in proceeds to Applied Materials, Inc. before expenses of 99.456%, totaling $696,192,000. The offering is expected to close on or about June 11, 2024, with BofA Securities, J.P. Morgan, Citigroup, Mizuho, MUFG, and Wells Fargo Securities acting as Joint Book-Running Managers. The offering involves risks, detailed in the 'Risk Factors' section starting on page S-6 of the prospectus supplement. The notes will be delivered to investors in registered book-entry form through The Depository Trust Company and its participants, including Clearstream Banking S.A. and Euroclear Bank, SA/NV.
应用材料公司宣布发行7亿美元4.800%于2029年6月15日到期的优先票据。这些票据的利息将于6月15日和12月15日半年支付一次,自2024年12月15日起开始。公司可以在到期前随时按照相关法规在赎回价格下赎回票据。这些票据为全球发行,是公司其他无担保和无优先债务的非担保债务,排名相等。每张票据的公开发行价格为99.806%,扣除承销折扣0.350%,应用材料公司在扣除费用后的收益为99.456%,总额为6961.92万美元。发行预计将于2024年6月11日或前后结束,花旗集团、摩根大通、BNP 巴黎、瑞穗、日本三菱日联银行和富国证券担任联席主承销商。发行涉及风险,请参阅招股书补充材料S-6页上开始的“风险因素”一章。这些票据将以注册簿记形式通过存管信托公司及其参与者,包括Clearstream Banking S.A.和Euroclear Bank,SA/NV向投资者交付。
应用材料公司宣布发行7亿美元4.800%于2029年6月15日到期的优先票据。这些票据的利息将于6月15日和12月15日半年支付一次,自2024年12月15日起开始。公司可以在到期前随时按照相关法规在赎回价格下赎回票据。这些票据为全球发行,是公司其他无担保和无优先债务的非担保债务,排名相等。每张票据的公开发行价格为99.806%,扣除承销折扣0.350%,应用材料公司在扣除费用后的收益为99.456%,总额为6961.92万美元。发行预计将于2024年6月11日或前后结束,花旗集团、摩根大通、BNP 巴黎、瑞穗、日本三菱日联银行和富国证券担任联席主承销商。发行涉及风险,请参阅招股书补充材料S-6页上开始的“风险因素”一章。这些票据将以注册簿记形式通过存管信托公司及其参与者,包括Clearstream Banking S.A.和Euroclear Bank,SA/NV向投资者交付。
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