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Reported Earlier, Roper Tech Raised $3B Via 3 Separate Senior Unsecured Notes Offering For Debt Repayment

Reported Earlier, Roper Tech Raised $3B Via 3 Separate Senior Unsecured Notes Offering For Debt Repayment

早先报道,罗珀科技通过发行三个不同的优先无抵押票据集资30亿美元用于债务偿还。
Benzinga ·  08/20 02:55

Roper Technologies, Inc. (NASDAQ:ROP) (the "Company") announced today the pricing of its public offering of $500 million of 4.500% Senior Notes due 2029 (the "2029 notes"), $500 million of 4.750% Senior Notes due 2032 (the "2032 notes"), and $1 billion of 4.900% Senior Notes due 2034 (the "2034 notes" and, collectively with the 2029 notes and 2032 notes, the "notes"). The offering is expected to close, subject to the satisfaction of customary closing conditions, on August 21, 2024.

儒博实业公司(纳斯达克:ROP)("公司")今日宣布定价公开发行4.500%到期于2029年的5,000万美元高级票据("2029高级票据"),4.750%到期于2032年的5,000万美元高级票据("2032高级票据")和4.900%到期于2034年的10亿美元高级票据("2034高级票据",与2029和2032票据共同构成"票据")。此次发行预计将在2024年8月21日结算,须满足惯常的完结条款。

The 2029 notes will bear interest at the rate of 4.500% per year, the 2032 notes will bear interest at the rate of 4.750% per year, and the 2034 notes will bear interest at the rate of 4.900% per year. Interest on the 2029 notes and 2034 notes will be payable semi-annually on April 15 and October 15 of each year, beginning April 15, 2025, and interest on the 2032 notes will be payable semi-annually on February 15 and August 15 of each year, beginning February 15, 2025. The 2029 notes will mature on October 15, 2029, the 2032 notes will mature on February 15, 2032, and the 2034 notes will mature on October 15, 2034. The notes will be senior unsecured obligations of the Company.

2029高级票据的年利率为4.500%,2032高级票据的年利率为4.750%,2034高级票据的年利率为4.900%。2029和2034高级票据的利息将每年4月15日和10月15日半年付息,自2025年4月15日起开始,而2032高级票据的利息将每年2月15日和8月15日半年付息,自2025年2月15日起开始。2029高级票据将于2029年10月15日到期,2032高级票据将于2032年2月15日到期,而2034高级票据将于2034年10月15日到期。这些票据将是公司的高级无抵押债务。

Net proceeds from the sale of the notes will be used (i) to repay a portion of the borrowings outstanding under the Company's five-year unsecured credit facility, including borrowings incurred to fund the purchase price of the Company's expected acquisition of Transact Campus, Inc. ("Transact"), (ii) to repay the Company's outstanding 2.350% Senior Notes due 2024, (iii) for general corporate purposes, including future acquisitions, or (iv) for any combination of the foregoing categories. This offering is not conditioned upon the consummation of the Transact acquisition and the Transact acquisition is not conditioned on the completion of this offering.

此次票据销售净收益将用于(i)偿还公司的五年无抵押信贷额度中的部分借款,包括为了资助公司预期的收购Transact Campus, Inc.("Transact")而发生的借款、(ii)偿还公司尚未偿还的2.350%到期于2024年的高级票据,(iii)用于一般企业用途,包括未来的收购,或(iv)以前述任意组合。此次发行不受Transact收购的完成影响,而Transact收购也不受此次发行的完成影响。

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