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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 ·  07/24 17:00

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UnitedHealth Group Incorporated has announced the issuance of $12 billion in debt securities, divided into eight tranches with varying interest rates and maturities ranging from 2026 to 2064. The offering includes $500 million in Floating Rate Notes due July 15, 2026, $650 million in 4.750% Notes due July 15, 2026, $1.25 billion in 4.800% Notes due January 15, 2030, $1.5 billion in 4.950% Notes due January 15, 2032, $2 billion in 5.150% Notes due July 15, 2034, $1.5 billion in 5.500% Notes due July 15, 2044, $2.75 billion in 5.625% Notes due July 15, 2054, and $1.85 billion in 5.750% Notes due July 15, 2064. The notes were offered through a syndicate of banks, including Wells Fargo Securities, Citigroup, and J.P. Morgan, among others, acting as joint book-running managers. The proceeds from the issuance are intended for general corporate purposes, which may include refinancing existing debt, funding acquisitions, or other business initiatives.
UnitedHealth Group Incorporated has announced the issuance of $12 billion in debt securities, divided into eight tranches with varying interest rates and maturities ranging from 2026 to 2064. The offering includes $500 million in Floating Rate Notes due July 15, 2026, $650 million in 4.750% Notes due July 15, 2026, $1.25 billion in 4.800% Notes due January 15, 2030, $1.5 billion in 4.950% Notes due January 15, 2032, $2 billion in 5.150% Notes due July 15, 2034, $1.5 billion in 5.500% Notes due July 15, 2044, $2.75 billion in 5.625% Notes due July 15, 2054, and $1.85 billion in 5.750% Notes due July 15, 2064. The notes were offered through a syndicate of banks, including Wells Fargo Securities, Citigroup, and J.P. Morgan, among others, acting as joint book-running managers. The proceeds from the issuance are intended for general corporate purposes, which may include refinancing existing debt, funding acquisitions, or other business initiatives.
联合健康集团宣布发行120亿美元的债务证券,分为八个截止日期不同的期货,利率期货也有所不同,分别在2026年至2064年之间。本次发行包括到2026年7月15日到期的漂浮利率票据5000万美元、到2026年7月15日到期的4.750%票据6500万美元、到2030年1月15日到期的4.800%票据12.5亿美元、到2032年1月15日到期的4.950%票据15亿美元、到2034年7月15日到期的5.150%票据20亿美元、到2044年7月15日到期的5.500%票据15亿美元、到2054年7月15日到期的5.625%票据27.5亿美元、到2064年7月15日到期的5.750%票据18.5亿美元。这些票据是通过银行业联合管理的,其中包括富国证券、花旗集团和摩根大通等,作为联席簿记经理。本次发行所得用于一般企业用途,包括再融资、资助收购或其他业务倡议。
联合健康集团宣布发行120亿美元的债务证券,分为八个截止日期不同的期货,利率期货也有所不同,分别在2026年至2064年之间。本次发行包括到2026年7月15日到期的漂浮利率票据5000万美元、到2026年7月15日到期的4.750%票据6500万美元、到2030年1月15日到期的4.800%票据12.5亿美元、到2032年1月15日到期的4.950%票据15亿美元、到2034年7月15日到期的5.150%票据20亿美元、到2044年7月15日到期的5.500%票据15亿美元、到2054年7月15日到期的5.625%票据27.5亿美元、到2064年7月15日到期的5.750%票据18.5亿美元。这些票据是通过银行业联合管理的,其中包括富国证券、花旗集团和摩根大通等,作为联席簿记经理。本次发行所得用于一般企业用途,包括再融资、资助收购或其他业务倡议。
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