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Procter & Gamble | 424B5: Prospectus

寶潔 | 424B5:募資說明書

美股sec公告 ·  01/25 17:21
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The Procter & Gamble Company (P&G) has announced the issuance of $1.35 billion in debt, divided into two tranches: $600 million 4.350% Notes due 2029 and $750 million 4.550% Notes due 2034. The notes, unsecured obligations of P&G, will pay interest semiannually with the first payment due on July 29, 2024, and will mature on January 29 of their respective years. The offering was made under P&G's existing shelf registration and managed by a syndicate of banks, including Citigroup, Goldman Sachs & Co. LLC, and Morgan Stanley as joint book-running managers. The proceeds are intended for general corporate purposes. The sale was conducted in accordance with the rules of the Securities and Exchange Commission, and the notes will not be listed on any securities exchange. The issuance was detailed in a prospectus supplement dated January 24, 2024, to the prospectus dated October 18, 2023.
The Procter & Gamble Company (P&G) has announced the issuance of $1.35 billion in debt, divided into two tranches: $600 million 4.350% Notes due 2029 and $750 million 4.550% Notes due 2034. The notes, unsecured obligations of P&G, will pay interest semiannually with the first payment due on July 29, 2024, and will mature on January 29 of their respective years. The offering was made under P&G's existing shelf registration and managed by a syndicate of banks, including Citigroup, Goldman Sachs & Co. LLC, and Morgan Stanley as joint book-running managers. The proceeds are intended for general corporate purposes. The sale was conducted in accordance with the rules of the Securities and Exchange Commission, and the notes will not be listed on any securities exchange. The issuance was detailed in a prospectus supplement dated January 24, 2024, to the prospectus dated October 18, 2023.
寶潔公司(寶潔)宣佈發行13.5億美元的債務,分爲兩部分:6億美元2029年到期的4.350%票據和2034年到期的7.5億美元4.550%的票據。這些票據是寶潔的無抵押債務,將每半年支付一次利息,第一筆款項將於2024年7月29日到期,並將於相應年度的1月29日到期。此次發行是在寶潔現有的貨架註冊下進行的,由包括花旗集團、高盛公司在內的銀行集團管理。有限責任公司和摩根士丹利作爲聯席賬簿管理人。所得款項用於一般公司用途。此次出售是根據美國證券交易委員會的規則進行的,這些票據不會在任何證券交易所上市。2024年1月24日的招股說明書補充文件詳細介紹了此次發行,該補充文件是2023年10月18日的招股說明書。
寶潔公司(寶潔)宣佈發行13.5億美元的債務,分爲兩部分:6億美元2029年到期的4.350%票據和2034年到期的7.5億美元4.550%的票據。這些票據是寶潔的無抵押債務,將每半年支付一次利息,第一筆款項將於2024年7月29日到期,並將於相應年度的1月29日到期。此次發行是在寶潔現有的貨架註冊下進行的,由包括花旗集團、高盛公司在內的銀行集團管理。有限責任公司和摩根士丹利作爲聯席賬簿管理人。所得款項用於一般公司用途。此次出售是根據美國證券交易委員會的規則進行的,這些票據不會在任何證券交易所上市。2024年1月24日的招股說明書補充文件詳細介紹了此次發行,該補充文件是2023年10月18日的招股說明書。
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