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Oracle | 424B2: Prospectus

Oracle | 424B2: Prospectus

甲骨文 | 424B2:募資說明書
美股SEC公告 ·  09/27 05:12

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Oracle Corporation has announced the issuance of $6.25 billion in aggregate principal amount of unsecured notes, divided into four tranches with varying interest rates and maturities. The offering includes $1.5 billion of 4.200% notes due 2029, $1.75 billion of 4.700% notes due 2034, $1.75 billion of 5.375% notes due 2054, and $1.25 billion of 5.500% notes due 2064. Interest on these notes will be paid semi-annually, with the first payment commencing on March 27, 2025. Oracle Corporation has the option to redeem the notes of any series in whole or in part at any time, with the redemption prices specified under the heading 'Description of the Notes—Optional Redemption'. The notes will rank equally with all other existing and future unsecured and unsubordinated indebtedness. The offering is managed by a syndicate of banks, including BofA Securities, Citigroup, and Goldman Sachs & Co. LLC, among others, acting as joint book-running managers. The notes are expected to be delivered to purchasers on or about September 27, 2024.
Oracle Corporation has announced the issuance of $6.25 billion in aggregate principal amount of unsecured notes, divided into four tranches with varying interest rates and maturities. The offering includes $1.5 billion of 4.200% notes due 2029, $1.75 billion of 4.700% notes due 2034, $1.75 billion of 5.375% notes due 2054, and $1.25 billion of 5.500% notes due 2064. Interest on these notes will be paid semi-annually, with the first payment commencing on March 27, 2025. Oracle Corporation has the option to redeem the notes of any series in whole or in part at any time, with the redemption prices specified under the heading 'Description of the Notes—Optional Redemption'. The notes will rank equally with all other existing and future unsecured and unsubordinated indebtedness. The offering is managed by a syndicate of banks, including BofA Securities, Citigroup, and Goldman Sachs & Co. LLC, among others, acting as joint book-running managers. The notes are expected to be delivered to purchasers on or about September 27, 2024.
甲骨文公司宣佈發行總額爲625億美元的無擔保票據,分爲四個不同期限和利率的檔次。此次發行包括到期日爲2029年的4.200%票據150億美元,到期日爲2034年的4.700%票據175億美元,到期日爲2054年的5.375%票據175億美元,以及到期日爲2064年的5.500%票據125億美元。這些票據的利息將每半年支付一次,首次支付將於2025年3月27日開始。甲骨文公司有權在任何時間全額或部分贖回任何系列的票據,贖回價格在「票據描述—可選擇贖回」欄下有規定。這些票據將與所有現有和未來的無擔保、無次要債務平起平坐。這次發行由包括美銀證券、花旗集團和高盛公司等銀行銀行銀行銀行協力承銷,擔任聯席簿記管理。預計這些票據將於2024年9月27日左右交付給購買者。
甲骨文公司宣佈發行總額爲625億美元的無擔保票據,分爲四個不同期限和利率的檔次。此次發行包括到期日爲2029年的4.200%票據150億美元,到期日爲2034年的4.700%票據175億美元,到期日爲2054年的5.375%票據175億美元,以及到期日爲2064年的5.500%票據125億美元。這些票據的利息將每半年支付一次,首次支付將於2025年3月27日開始。甲骨文公司有權在任何時間全額或部分贖回任何系列的票據,贖回價格在「票據描述—可選擇贖回」欄下有規定。這些票據將與所有現有和未來的無擔保、無次要債務平起平坐。這次發行由包括美銀證券、花旗集團和高盛公司等銀行銀行銀行銀行協力承銷,擔任聯席簿記管理。預計這些票據將於2024年9月27日左右交付給購買者。
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