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Vale SA | 6-K: Vale Announces Cash Tender Offers for Notes Due 2036, 2039 and 2034

Vale SA | 6-K: Vale Announces Cash Tender Offers for Notes Due 2036, 2039 and 2034

淡水河谷 | 6-K:淡水河谷宣布2036年、2039年和2034年到期票据的现金投标要约
美股sec公告 ·  06/25 09:35
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Vale SA, through its wholly owned subsidiary Vale Overseas Limited, has initiated cash tender offers for three series of notes due in 2036, 2039, and 2034, with an aggregate principal amount of up to $500 million. The offers, which began on June 25, 2024, are not dependent on a minimum tender amount but are capped at the stated maximum principal amount, unless Vale Overseas decides to increase it. These offers are contingent upon the successful issuance of new debt securities by Vale Overseas, guaranteed by Vale SA, under satisfactory terms. The offers include an early tender premium of $50 per $1,000 principal amount for notes tendered by the early deadline of July 9, 2024. The final expiration of the offers is set for July 24, 2024, with the early settlement expected on...Show More
Vale SA, through its wholly owned subsidiary Vale Overseas Limited, has initiated cash tender offers for three series of notes due in 2036, 2039, and 2034, with an aggregate principal amount of up to $500 million. The offers, which began on June 25, 2024, are not dependent on a minimum tender amount but are capped at the stated maximum principal amount, unless Vale Overseas decides to increase it. These offers are contingent upon the successful issuance of new debt securities by Vale Overseas, guaranteed by Vale SA, under satisfactory terms. The offers include an early tender premium of $50 per $1,000 principal amount for notes tendered by the early deadline of July 9, 2024. The final expiration of the offers is set for July 24, 2024, with the early settlement expected on July 11, 2024, and the final settlement on July 26, 2024. Vale Overseas also plans to redeem all outstanding 6.250% Guaranteed Notes due 2026. The tender offers are being managed by BMO Capital Markets Corp., Citigroup Global Markets Inc., Credit Agricole Securities (USA) Inc., HSBC Securities (USA) Inc., and MUFG Securities Americas Inc., with D.F. King & Co., Inc. serving as the tender and information agent.
淡水河谷通过其全资子公司淡水河谷海外有限公司,启动了三个系列2036年、2039年和2034年到期的债券的现金收购要约,拟收购的债券总本金金额高达5亿美元。这些要约始于2024年6月25日,不受最低收购金额的限制,但上限为规定的最高本金金额,除非淡水河谷海外有限公司决定增加。这些要约取决于淡水河谷海外有限公司成功发行由淡水河谷担保并在满意条款下发行的新债务证券。这些要约包括每1,000美元本金的提前收购奖励50美元的权利,适用于在2024年7月9日之前提交的债券。最终截止时间为2024年7月24日,预计提前结算日期为2024年7月11日,最终结算日期为2024年7月26日。淡水河谷海外有限公司还计划赎回所有未偿还的2026年6.250%担保债券。收购要约由BMO资本市场公司、花旗集团全球市场公司、法国农业信贷证券(美国)公司、汇丰证券(美国)公司和三菱日联证券美国公司管理,D.F. King & Co.,Inc.担任收购和信息代理。
淡水河谷通过其全资子公司淡水河谷海外有限公司,启动了三个系列2036年、2039年和2034年到期的债券的现金收购要约,拟收购的债券总本金金额高达5亿美元。这些要约始于2024年6月25日,不受最低收购金额的限制,但上限为规定的最高本金金额,除非淡水河谷海外有限公司决定增加。这些要约取决于淡水河谷海外有限公司成功发行由淡水河谷担保并在满意条款下发行的新债务证券。这些要约包括每1,000美元本金的提前收购奖励50美元的权利,适用于在2024年7月9日之前提交的债券。最终截止时间为2024年7月24日,预计提前结算日期为2024年7月11日,最终结算日期为2024年7月26日。淡水河谷海外有限公司还计划赎回所有未偿还的2026年6.250%担保债券。收购要约由BMO资本市场公司、花旗集团全球市场公司、法国农业信贷证券(美国)公司、汇丰证券(美国)公司和三菱日联证券美国公司管理,D.F. King & Co.,Inc.担任收购和信息代理。
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