share_log

Accenture | 424B5: Prospectus

Accenture | 424B5: Prospectus

埃森哲 | 424B5:募資說明書
美股SEC公告 ·  2024/10/01 07:25

Moomoo AI 已提取核心訊息

Accenture Capital Inc., a subsidiary of Accenture plc, has announced the issuance of senior notes in four tranches with varying maturity dates. These notes are unsecured obligations and will be fully and unconditionally guaranteed by Accenture plc in terms of principal and interest payments. The offering includes $% Senior Notes due 20__, $% Senior Notes due 20__, $% Senior Notes due 20__, and $% Senior Notes due 20__. The interest rates for each tranche have not been disclosed. The notes will be issued under an indenture with The Bank of New York Mellon Trust Company, N.A. as trustee. The proceeds from the sale of the notes are intended for general corporate purposes, including the repayment of outstanding commercial paper borrowings. The issuance is being managed by a syndicate of banks, with J.P. Morgan, BNP PARIBAS, BofA Securities, and Citigroup acting as the joint book-running managers. The announcement did not specify the total aggregate principal amount of the notes being offered or the specific dates of maturity for each tranche.
Accenture Capital Inc., a subsidiary of Accenture plc, has announced the issuance of senior notes in four tranches with varying maturity dates. These notes are unsecured obligations and will be fully and unconditionally guaranteed by Accenture plc in terms of principal and interest payments. The offering includes $% Senior Notes due 20__, $% Senior Notes due 20__, $% Senior Notes due 20__, and $% Senior Notes due 20__. The interest rates for each tranche have not been disclosed. The notes will be issued under an indenture with The Bank of New York Mellon Trust Company, N.A. as trustee. The proceeds from the sale of the notes are intended for general corporate purposes, including the repayment of outstanding commercial paper borrowings. The issuance is being managed by a syndicate of banks, with J.P. Morgan, BNP PARIBAS, BofA Securities, and Citigroup acting as the joint book-running managers. The announcement did not specify the total aggregate principal amount of the notes being offered or the specific dates of maturity for each tranche.
埃森哲資本有限公司,埃森哲股份有限公司的子公司,已宣佈發行了四個不同到期日的優先票據。這些票據是無抵押債務,並將由埃森哲股份有限公司在本金和利息支付方面提供全面無條件擔保。本次發行包括20__年到期的$%優先票據,20__年到期的$%優先票據,20__年到期的$%優先票據和20__年到期的$%優先票據。每個Tranche的利率尚未披露。該票據將根據與紐約梅隆銀行信託公司,N.A.作爲受託人的證券託管安排進行發行。票據銷售所得擬用於一般企業用途,包括償還未償還的商業票據借款。此次發行由一家銀行聯合會管理,J.P.摩根,巴黎銀行,美銀證券和花旗集團擔任聯席主承銷商。公告未具體指明所提供票據的總面值或每個Tranche到期日。
埃森哲資本有限公司,埃森哲股份有限公司的子公司,已宣佈發行了四個不同到期日的優先票據。這些票據是無抵押債務,並將由埃森哲股份有限公司在本金和利息支付方面提供全面無條件擔保。本次發行包括20__年到期的$%優先票據,20__年到期的$%優先票據,20__年到期的$%優先票據和20__年到期的$%優先票據。每個Tranche的利率尚未披露。該票據將根據與紐約梅隆銀行信託公司,N.A.作爲受託人的證券託管安排進行發行。票據銷售所得擬用於一般企業用途,包括償還未償還的商業票據借款。此次發行由一家銀行聯合會管理,J.P.摩根,巴黎銀行,美銀證券和花旗集團擔任聯席主承銷商。公告未具體指明所提供票據的總面值或每個Tranche到期日。
声明:本內容僅用作提供資訊及教育之目的,不構成對任何特定投資或投資策略的推薦或認可。 更多信息