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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)

哥倫比亞國家石油 | 6-K:外國發行人報告(業績相關)
美股SEC公告 ·  2024/10/21 19:55

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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.
哥倫比亞國家石油公司宣佈發行年息7.750%的票據,截止日期爲2032年2月1日,利息自2025年2月1日起每半年支付一次。這些票據包含可選擇的提前贖回條款,允許在2031年12月1日之前以溢價提前贖回,或在那之後按面值贖回。這些票據具備全面的投資者保護,包括以101%的本金進行控制權變更回購權,以及如徵收預扣稅時支付額外金額的條款。該公司保留贖回這些票據的權利,如果由於哥倫比亞稅法的變化而被迫支付額外金額。這些票據代表哥倫比亞國家石油公司的無擔保義務,幷包括限制抵押權和公司行爲的標準契約。紐約梅隆銀行擔任受託人,票據受紐約法律管轄,而授權和執行事宜則由哥倫比亞法律管轄。
哥倫比亞國家石油公司宣佈發行年息7.750%的票據,截止日期爲2032年2月1日,利息自2025年2月1日起每半年支付一次。這些票據包含可選擇的提前贖回條款,允許在2031年12月1日之前以溢價提前贖回,或在那之後按面值贖回。這些票據具備全面的投資者保護,包括以101%的本金進行控制權變更回購權,以及如徵收預扣稅時支付額外金額的條款。該公司保留贖回這些票據的權利,如果由於哥倫比亞稅法的變化而被迫支付額外金額。這些票據代表哥倫比亞國家石油公司的無擔保義務,幷包括限制抵押權和公司行爲的標準契約。紐約梅隆銀行擔任受託人,票據受紐約法律管轄,而授權和執行事宜則由哥倫比亞法律管轄。
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