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Verizon | 424B2: Prospectus

Verizon | 424B2: Prospectus

Verizon | 424B2:募資說明書
美股SEC公告 ·  09/24 04:14

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Verizon Communications Inc. has successfully priced its offering of Senior Unsecured Notes under Rule 424(b)(2) with the sale concluding on September 23, 2024. The offering includes two tranches of notes: CUSIP 92346MNX5 with a principal amount of $1,853,000 at a fixed coupon rate of 4.050%, maturing on September 15, 2029, and CUSIP 92346MNY3 with a principal amount of $3,279,000 at a fixed coupon rate of 5.100%, maturing on September 15, 2054. Both tranches offer semi-annual coupon payments and feature a Survivor’s Option. The notes are callable at 100% with notice periods starting from September 15, 2025, and September 15, 2026, respectively. The offering was managed by a syndicate of banks including InspereX as the Joint Lead Manager and Lead Agent, with BofA Securities, Citigroup, Morgan Stanley, RBC Capital Markets, and Wells Fargo Advisors as agents. The trade date was set for September 23, 2024, with settlement scheduled for September 26, 2024, following a T+3 settlement cycle. The notes were offered in minimum denominations of $1,000 and will be represented by a Master Note in fully registered form, to be deposited with DTC or another depository.
Verizon Communications Inc. has successfully priced its offering of Senior Unsecured Notes under Rule 424(b)(2) with the sale concluding on September 23, 2024. The offering includes two tranches of notes: CUSIP 92346MNX5 with a principal amount of $1,853,000 at a fixed coupon rate of 4.050%, maturing on September 15, 2029, and CUSIP 92346MNY3 with a principal amount of $3,279,000 at a fixed coupon rate of 5.100%, maturing on September 15, 2054. Both tranches offer semi-annual coupon payments and feature a Survivor’s Option. The notes are callable at 100% with notice periods starting from September 15, 2025, and September 15, 2026, respectively. The offering was managed by a syndicate of banks including InspereX as the Joint Lead Manager and Lead Agent, with BofA Securities, Citigroup, Morgan Stanley, RBC Capital Markets, and Wells Fargo Advisors as agents. The trade date was set for September 23, 2024, with settlement scheduled for September 26, 2024, following a T+3 settlement cycle. The notes were offered in minimum denominations of $1,000 and will be represented by a Master Note in fully registered form, to be deposited with DTC or another depository.
威瑞森通信公司已成功定價其在2024年9月23日結束的無擔保上級票據發行,符合424(b)(2)規定。該發行包括兩期票據:CUSIP號碼92346MNX5,面值1853,000美元,固定票面利率爲4.050%,到期日爲2029年9月15日;CUSIP號碼92346MNY3,面值3279,000美元,固定票面利率爲5.100%,到期日爲2054年9月15日。兩期票據提供半年度付息,並設有生存者選擇權。該票據可在100%贖回,通知期從分別從2025年9月15日和2026年9月15日開始。本次發行由一家銀行銀團包括InspireX作爲聯席主承銷商和首席代理管理,花旗集團,摩根士丹利,RBC資本市場和富國銀行顧問作爲代理。交易日期定於2024年9月23日,結算日期定於2024年9月26日,遵循T+3的結算週期。票據提供最低面額爲1,000美元,並將以全額註冊形式的主票據形式發行,以存入DTC或另一家存託機構。
威瑞森通信公司已成功定價其在2024年9月23日結束的無擔保上級票據發行,符合424(b)(2)規定。該發行包括兩期票據:CUSIP號碼92346MNX5,面值1853,000美元,固定票面利率爲4.050%,到期日爲2029年9月15日;CUSIP號碼92346MNY3,面值3279,000美元,固定票面利率爲5.100%,到期日爲2054年9月15日。兩期票據提供半年度付息,並設有生存者選擇權。該票據可在100%贖回,通知期從分別從2025年9月15日和2026年9月15日開始。本次發行由一家銀行銀團包括InspireX作爲聯席主承銷商和首席代理管理,花旗集團,摩根士丹利,RBC資本市場和富國銀行顧問作爲代理。交易日期定於2024年9月23日,結算日期定於2024年9月26日,遵循T+3的結算週期。票據提供最低面額爲1,000美元,並將以全額註冊形式的主票據形式發行,以存入DTC或另一家存託機構。
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