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Ecopetrol | 6-K: Report of foreign private issuer (related to financial reporting)

Ecopetrol | 6-K: Report of foreign private issuer (related to financial reporting)

哥伦比亚国家石油 | 6-K:外国发行人报告(业绩相关)
美股SEC公告 ·  2024/10/21 07:55

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Ecopetrol announced the issuance of 7.750% Notes due February 1, 2032, with interest payable semi-annually starting February 1, 2025. The notes include optional redemption provisions allowing early redemption prior to December 1, 2031 at a premium, or at par thereafter.The notes feature comprehensive investor protections including change of control repurchase rights at 101% of principal, and provisions for payment of additional amounts if withholding taxes are imposed. The company maintains the right to redeem the notes if it becomes obligated to pay additional amounts due to changes in Colombian tax laws.The notes represent unsecured obligations of Ecopetrol and include standard covenants limiting liens and corporate actions. The Bank of New York Mellon serves as trustee, with the notes governed by New York law while Colombian law governs authorization and execution matters.
Ecopetrol announced the issuance of 7.750% Notes due February 1, 2032, with interest payable semi-annually starting February 1, 2025. The notes include optional redemption provisions allowing early redemption prior to December 1, 2031 at a premium, or at par thereafter.The notes feature comprehensive investor protections including change of control repurchase rights at 101% of principal, and provisions for payment of additional amounts if withholding taxes are imposed. The company maintains the right to redeem the notes if it becomes obligated to pay additional amounts due to changes in Colombian tax laws.The notes represent unsecured obligations of Ecopetrol and include standard covenants limiting liens and corporate actions. The Bank of New York Mellon serves as trustee, with the notes governed by New York law while Colombian law governs authorization and execution matters.
哥伦比亚国家石油宣布发行2023年2月1日到期的7.750%票据,利息将从2025年2月1日起按半年支付。这些票据包括选择性赎回条款,允许在2031年12月1日之前以溢价提前赎回,或在之后按票面价值赎回。这些票据具有全面的投资者保护,包括控制变更赎回权,赎回价格为本金的101%,以及在征收预扣税时支付额外金额的条款。如果哥伦比亚税法发生变化,公司保留赎回票据的权利,以支付额外金额。这些票据代表哥伦比亚国家石油的无担保债务,并包含限制留置权和公司行为的标准契约。纽约梅隆银行担任受托人,票据受纽约法律管辖,同时哥伦比亚法律管辖授权和执行事项。
哥伦比亚国家石油宣布发行2023年2月1日到期的7.750%票据,利息将从2025年2月1日起按半年支付。这些票据包括选择性赎回条款,允许在2031年12月1日之前以溢价提前赎回,或在之后按票面价值赎回。这些票据具有全面的投资者保护,包括控制变更赎回权,赎回价格为本金的101%,以及在征收预扣税时支付额外金额的条款。如果哥伦比亚税法发生变化,公司保留赎回票据的权利,以支付额外金额。这些票据代表哥伦比亚国家石油的无担保债务,并包含限制留置权和公司行为的标准契约。纽约梅隆银行担任受托人,票据受纽约法律管辖,同时哥伦比亚法律管辖授权和执行事项。
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