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Eli Lilly and Co | 424B2: Prospectus

Eli Lilly and Co | 424B2: Prospectus

礼来 | 424B2:募资说明书
美股SEC公告 ·  08/13 16:35

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Eli Lilly and Co announced the issuance of $5 billion in new notes, divided into five tranches with varying maturity dates ranging from 2027 to 2064 and interest rates from 4.150% to 5.200%. The notes are unsecured and rank equally with other unsecured and unsubordinated debt. The offering includes $750 million at 4.150% due 2027, $1 billion at 4.200% due 2029, $1.25 billion at 4.600% due 2034, $1.25 billion at 5.050% due 2054, and $750 million at 5.200% due 2064. Interest is payable semi-annually on February 14 and August 14. The joint book-running managers for the offering are BNP PARIBAS, Citigroup, Goldman Sachs & Co. LLC, J.P. Morgan, and Morgan Stanley, with several other firms acting as co-managers. The notes will not be listed on any securities exchange, and the underwriters expect to deliver the notes to investors on or about August 14, 2024.
Eli Lilly and Co announced the issuance of $5 billion in new notes, divided into five tranches with varying maturity dates ranging from 2027 to 2064 and interest rates from 4.150% to 5.200%. The notes are unsecured and rank equally with other unsecured and unsubordinated debt. The offering includes $750 million at 4.150% due 2027, $1 billion at 4.200% due 2029, $1.25 billion at 4.600% due 2034, $1.25 billion at 5.050% due 2054, and $750 million at 5.200% due 2064. Interest is payable semi-annually on February 14 and August 14. The joint book-running managers for the offering are BNP PARIBAS, Citigroup, Goldman Sachs & Co. LLC, J.P. Morgan, and Morgan Stanley, with several other firms acting as co-managers. The notes will not be listed on any securities exchange, and the underwriters expect to deliver the notes to investors on or about August 14, 2024.
礼来宣布发行新的价值50亿美元的债券,分为五个期限,到期日从2027年到2064年不等,利率在4.15%到5.2%之间。其中7500万美元以4.15%年息率到期于2027年,10亿美元以4.2%年息率到期于2029年,12.5亿美元以4.6%年息率到期于2034年,12.5亿美元以5.05%年息率到期于2054年,7500万美元以5.2%年息率到期于2064年。利息每年2月14日和8月14日支付一次。本次发行的联席簿记管理人包括巴黎银行、花旗集团、高盛、摩根大通和摩根士丹利等几个公司担任副承销商,并由其它几家公司担任联席承销商。这些证券将不会在任何证券交易所上市,承销商预计将于2024年8月14日或前后向投资者交付债券。
礼来宣布发行新的价值50亿美元的债券,分为五个期限,到期日从2027年到2064年不等,利率在4.15%到5.2%之间。其中7500万美元以4.15%年息率到期于2027年,10亿美元以4.2%年息率到期于2029年,12.5亿美元以4.6%年息率到期于2034年,12.5亿美元以5.05%年息率到期于2054年,7500万美元以5.2%年息率到期于2064年。利息每年2月14日和8月14日支付一次。本次发行的联席簿记管理人包括巴黎银行、花旗集团、高盛、摩根大通和摩根士丹利等几个公司担任副承销商,并由其它几家公司担任联席承销商。这些证券将不会在任何证券交易所上市,承销商预计将于2024年8月14日或前后向投资者交付债券。
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