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UnitedHealth | 424B5: Prospectus

UnitedHealth | 424B5: Prospectus

联合健康 | 424B5:募资说明书
美股SEC公告 ·  07/23 08:29
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UnitedHealth Group Incorporated has announced the issuance of a series of debt securities, including floating rate notes and fixed rate notes with varying maturities and interest rates. The offering includes floating rate notes due on an unspecified date in 20XX, and fixed rate notes with maturities ranging from 20XX to 20XX, each with a specified interest rate. The notes will be senior unsecured obligations and will rank equally with UnitedHealth's other unsecured and unsubordinated indebtedness. The proceeds from the sale of the notes are intended for general corporate purposes, which may include refinancing short-term borrowings, redeeming, repurchasing, or repaying outstanding securities, or investing in acquisitions. The specific terms of the notes, such as interest rates and maturities, will be determined at the time of sale and detailed in the prospectus supplement. The notes will be offered through a syndicate of underwriters led by Wells Fargo Securities, Citigroup, and J.P. Morgan, along with PNC Capital Markets LLC, RBC Capital Markets, and US Bancorp.
UnitedHealth Group Incorporated has announced the issuance of a series of debt securities, including floating rate notes and fixed rate notes with varying maturities and interest rates. The offering includes floating rate notes due on an unspecified date in 20XX, and fixed rate notes with maturities ranging from 20XX to 20XX, each with a specified interest rate. The notes will be senior unsecured obligations and will rank equally with UnitedHealth's other unsecured and unsubordinated indebtedness. The proceeds from the sale of the notes are intended for general corporate purposes, which may include refinancing short-term borrowings, redeeming, repurchasing, or repaying outstanding securities, or investing in acquisitions. The specific terms of the notes, such as interest rates and maturities, will be determined at the time of sale and detailed in the prospectus supplement. The notes will be offered through a syndicate of underwriters led by Wells Fargo Securities, Citigroup, and J.P. Morgan, along with PNC Capital Markets LLC, RBC Capital Markets, and US Bancorp.
联合健康集团宣布发行一系列债券,包括具有不同到期日和利率的浮动利率票据和固定利率票据。发行包括到期日未定的浮动利率票据和到期日分别在20XX年至20XX年之间的固定利率票据,每种票据均具有特定的利率。这些票据将是优先未担保债务,与联合健康的其他未担保和未受限制债务地位相同。销售票据的收益用于一般企业用途,可能包括再融资短期借款、赎回、回购或偿还未偿还的证券,或用于投资收购。票据的具体条款,如利率和到期日,将在发行时确定,并在招股说明书中详细阐述。票据将通过由富国银行证券、花旗集团和摩根大通领导的一家承销团进行发售,以及由PNC资本市场、加拿大皇家银行资本市场和美国合众银行参与。
联合健康集团宣布发行一系列债券,包括具有不同到期日和利率的浮动利率票据和固定利率票据。发行包括到期日未定的浮动利率票据和到期日分别在20XX年至20XX年之间的固定利率票据,每种票据均具有特定的利率。这些票据将是优先未担保债务,与联合健康的其他未担保和未受限制债务地位相同。销售票据的收益用于一般企业用途,可能包括再融资短期借款、赎回、回购或偿还未偿还的证券,或用于投资收购。票据的具体条款,如利率和到期日,将在发行时确定,并在招股说明书中详细阐述。票据将通过由富国银行证券、花旗集团和摩根大通领导的一家承销团进行发售,以及由PNC资本市场、加拿大皇家银行资本市场和美国合众银行参与。
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