share_log

American Tower Corp | 8-K: Current report

American Tower Corp | 8-K: Current report

美國電塔 | 8-K:重大事件
美股SEC公告 ·  2024/11/21 21:37

Moomoo AI 已提取核心訊息

American Tower completed a registered public offering of $1.2 billion in senior unsecured notes on November 21, 2024, comprising $600 million of 5.000% notes due 2030 and $600 million of 5.400% notes due 2035. The offering generated net proceeds of approximately $1.18 billion after deducting commissions and expenses.The company plans to use the proceeds to repay existing debt under its $6.0 billion and $4.0 billion senior unsecured multicurrency revolving credit facilities. Interest payments will be made semi-annually on January 31 and July 31, beginning July 31, 2025.The notes include standard covenants limiting the company's ability to merge, consolidate, sell assets, and incur liens. The company may redeem the notes early subject to make-whole premiums if redeemed before December 31, 2029 (2030 notes) or October 31, 2034 (2035 notes). A change of control triggering event would require the company to repurchase the notes at 101% of principal.
American Tower completed a registered public offering of $1.2 billion in senior unsecured notes on November 21, 2024, comprising $600 million of 5.000% notes due 2030 and $600 million of 5.400% notes due 2035. The offering generated net proceeds of approximately $1.18 billion after deducting commissions and expenses.The company plans to use the proceeds to repay existing debt under its $6.0 billion and $4.0 billion senior unsecured multicurrency revolving credit facilities. Interest payments will be made semi-annually on January 31 and July 31, beginning July 31, 2025.The notes include standard covenants limiting the company's ability to merge, consolidate, sell assets, and incur liens. The company may redeem the notes early subject to make-whole premiums if redeemed before December 31, 2029 (2030 notes) or October 31, 2034 (2035 notes). A change of control triggering event would require the company to repurchase the notes at 101% of principal.
美國塔架於2024年11月21日完成了一項註冊公開發行,總額爲120億美元的高級無擔保票據,包括6000萬美元的5.000%票據,期限至2030年,以及6000萬美元的5.400%票據,期限至2035年。該發行在扣除佣金和費用後生成的淨收益約爲118億美元。公司計劃使用這筆收益來償還其600億美元和400億美元的高級無擔保多幣種循環信貸額度下的現有債務。利息支付將於每年的1月31日和7月31日支付,首次支付日期爲2025年7月31日。票據包括限制公司合併、重組、賣出資產和承擔留置權的標準契約。如果在2029年12月31日(2030年票據)之前或在2034年10月31日(2035年票據)之前贖回,公司的票據可提前贖回,但需支付全額補償。如果發生控制權變更觸發事件, 公司需以本金的101%回購票據。
美國塔架於2024年11月21日完成了一項註冊公開發行,總額爲120億美元的高級無擔保票據,包括6000萬美元的5.000%票據,期限至2030年,以及6000萬美元的5.400%票據,期限至2035年。該發行在扣除佣金和費用後生成的淨收益約爲118億美元。公司計劃使用這筆收益來償還其600億美元和400億美元的高級無擔保多幣種循環信貸額度下的現有債務。利息支付將於每年的1月31日和7月31日支付,首次支付日期爲2025年7月31日。票據包括限制公司合併、重組、賣出資產和承擔留置權的標準契約。如果在2029年12月31日(2030年票據)之前或在2034年10月31日(2035年票據)之前贖回,公司的票據可提前贖回,但需支付全額補償。如果發生控制權變更觸發事件, 公司需以本金的101%回購票據。
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
評論 評論 · 瀏覽 397

熱點推薦

聲明

本頁的譯文內容由軟件翻譯。 Moomoo將竭力但卻不能保證翻譯內容之準確和可靠,亦不會承擔因任何不準確或遺漏而引起的任何損失或損害。