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Occidental Petroleum | 8-K: Current report

Occidental Petroleum | 8-K: Current report

西方石油 | 8-K:重大事件
美股sec公告 ·  07/26 16:59
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On July 23, 2024, Occidental Petroleum Corporation, a Delaware-incorporated entity, entered into an Underwriting Agreement with a consortium of underwriters led by BofA Securities, Inc., J.P. Morgan Securities LLC, MUFG Securities Americas Inc., and SMBC Nikko Securities America, Inc. The agreement outlined the sale of five series of senior unsecured notes totaling $5 billion. These notes, with varying interest rates and maturities ranging from 2027 to 2054, were successfully issued on July 26, 2024. Occidental plans to use the net proceeds of approximately $4.945 billion to finance the CrownRock Acquisition, Refinancing Transactions, and related fees and expenses. The notes were issued under an existing shelf registration statement and are governed by an Indenture dated August 8, 2019, with The Bank of New York Mellon Trust Company, N.A. serving as trustee. Occidental has the option to redeem the notes before maturity. Details of the agreement, notes, and related legal opinions and consents were filed with the SEC as part of the company's regulatory disclosures.
On July 23, 2024, Occidental Petroleum Corporation, a Delaware-incorporated entity, entered into an Underwriting Agreement with a consortium of underwriters led by BofA Securities, Inc., J.P. Morgan Securities LLC, MUFG Securities Americas Inc., and SMBC Nikko Securities America, Inc. The agreement outlined the sale of five series of senior unsecured notes totaling $5 billion. These notes, with varying interest rates and maturities ranging from 2027 to 2054, were successfully issued on July 26, 2024. Occidental plans to use the net proceeds of approximately $4.945 billion to finance the CrownRock Acquisition, Refinancing Transactions, and related fees and expenses. The notes were issued under an existing shelf registration statement and are governed by an Indenture dated August 8, 2019, with The Bank of New York Mellon Trust Company, N.A. serving as trustee. Occidental has the option to redeem the notes before maturity. Details of the agreement, notes, and related legal opinions and consents were filed with the SEC as part of the company's regulatory disclosures.
2024年7月23日,总部位于特拉华州的西方石油公司与由美国银行证券、摩根大通证券、三菱日联金融集团美国证券和三菱日联美国证券领导的承销商联合体签订了承销协议。该协议概述了出售总额为50亿美元的五个系列的无抵押优先级债券。这些债券的利率各不相同,到期日从2027年到2054年不等,在2024年7月26日成功发行。西方石油计划使用约49.45亿美元的募集资金用于CrownRock收购、再融资交易及相关费用和支出。这些债券是在现有的无限售卖登记声明下发行的,并受2019年8月8日的契约和纽约梅隆银行信托公司担任受托人的管理。西方石油有权在到期前赎回债券。协议、债券、相关法律意见和同意事项的详细信息已作为公司的监管披露文件提交给美国证券交易委员会。
2024年7月23日,总部位于特拉华州的西方石油公司与由美国银行证券、摩根大通证券、三菱日联金融集团美国证券和三菱日联美国证券领导的承销商联合体签订了承销协议。该协议概述了出售总额为50亿美元的五个系列的无抵押优先级债券。这些债券的利率各不相同,到期日从2027年到2054年不等,在2024年7月26日成功发行。西方石油计划使用约49.45亿美元的募集资金用于CrownRock收购、再融资交易及相关费用和支出。这些债券是在现有的无限售卖登记声明下发行的,并受2019年8月8日的契约和纽约梅隆银行信托公司担任受托人的管理。西方石油有权在到期前赎回债券。协议、债券、相关法律意见和同意事项的详细信息已作为公司的监管披露文件提交给美国证券交易委员会。
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