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Applied Materials | 424B2: Prospectus

Applied Materials | 424B2: Prospectus

應用材料 | 424B2:募資說明書
美股sec公告 ·  06/07 16:19
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Applied Materials, Inc. announced the issuance of $700 million in 4.800% Senior Notes due June 15, 2029. Interest on these notes will be payable semi-annually on June 15 and December 15, starting December 15, 2024. The company may redeem the notes at any time before maturity at the redemption prices described in the prospectus supplement. The notes are offered globally and are unsecured obligations, ranking equally with the company's other unsecured and unsubordinated debt. The public offering price per note is 99.806%, with an underwriting discount of 0.350%, resulting in proceeds to Applied Materials, Inc. before expenses of 99.456%, totaling $696,192,000. The offering is expected to close on or about June 11, 2024, with BofA Securities, J.P. Morgan, Citigroup, Mizuho, MUFG, and Wells Fargo Securities acting as Joint Book-Running Managers. The offering involves risks, detailed in the 'Risk Factors' section starting on page S-6 of the prospectus supplement. The notes will be delivered to investors in registered book-entry form through The Depository Trust Company and its participants, including Clearstream Banking S.A. and Euroclear Bank, SA/NV.
Applied Materials, Inc. announced the issuance of $700 million in 4.800% Senior Notes due June 15, 2029. Interest on these notes will be payable semi-annually on June 15 and December 15, starting December 15, 2024. The company may redeem the notes at any time before maturity at the redemption prices described in the prospectus supplement. The notes are offered globally and are unsecured obligations, ranking equally with the company's other unsecured and unsubordinated debt. The public offering price per note is 99.806%, with an underwriting discount of 0.350%, resulting in proceeds to Applied Materials, Inc. before expenses of 99.456%, totaling $696,192,000. The offering is expected to close on or about June 11, 2024, with BofA Securities, J.P. Morgan, Citigroup, Mizuho, MUFG, and Wells Fargo Securities acting as Joint Book-Running Managers. The offering involves risks, detailed in the 'Risk Factors' section starting on page S-6 of the prospectus supplement. The notes will be delivered to investors in registered book-entry form through The Depository Trust Company and its participants, including Clearstream Banking S.A. and Euroclear Bank, SA/NV.
應用材料公司宣佈發行7億美元4.8%到期於2029年6月15日的優先票據。這些票據的利息將在每年6月15日和12月15日半年付息,起始日爲2024年12月15日。公司可在到期前隨時以發售說明書附錄中描述的贖回價格贖回票據。這些票據在全球範圍內發行,爲無抵押債務,與公司的其他無擔保和無次級債務權利同等排名。每張票據的公開發行價格爲99.806%,扣除承銷折扣0.350%,應用材料公司淨獲得收益爲99.456%,共計696,192,000美元(扣除費用)。該發行預計將於2024年6月11日左右結束,由美國銀行證券、摩根大通、花旗集團、瑞穗、日本三菱UFJ金融集團和富國證券擔任聯合主承銷商。該發行涉...展開全部
應用材料公司宣佈發行7億美元4.8%到期於2029年6月15日的優先票據。這些票據的利息將在每年6月15日和12月15日半年付息,起始日爲2024年12月15日。公司可在到期前隨時以發售說明書附錄中描述的贖回價格贖回票據。這些票據在全球範圍內發行,爲無抵押債務,與公司的其他無擔保和無次級債務權利同等排名。每張票據的公開發行價格爲99.806%,扣除承銷折扣0.350%,應用材料公司淨獲得收益爲99.456%,共計696,192,000美元(扣除費用)。該發行預計將於2024年6月11日左右結束,由美國銀行證券、摩根大通、花旗集團、瑞穗、日本三菱UFJ金融集團和富國證券擔任聯合主承銷商。該發行涉及風險,詳見發售說明書上第S-6頁開始的“風險因素”部分。票據將以登記電子帳户方式通過The Depository Trust Company和其參與機構交付給投資者,包括Clearstream Banking S.A.和Euroclear Bank,SA/NV。
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