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Verizon | 424B2: Prospectus

Verizon | 424B2:募資說明書

SEC announcement ·  03/05 03:06
牛牛AI助理已提取核心訊息
Verizon Communications Inc. has successfully issued two sets of Senior Unsecured Notes under its Verizon InterNotes program, as detailed in Pricing Supplement No. 152 filed under Rule 424(b)(2). The offering, which took place from February 26, 2024, through March 4, 2024, included a $290,000 principal amount note with a 4.900% fixed coupon rate, maturing on March 15, 2031, and a $128,000 principal amount note with a 5.300% fixed coupon rate, maturing on March 15, 2054. Both notes are callable at 100% starting March 15, 2025. The notes were sold at a 100% selling price, with the first coupon payment scheduled for September 15, 2024. The net proceeds from the sale of the notes were $285,795 for the 2031 maturity and $123,968 for the 2054 maturity, after accounting for gross concessions of 1.450% and 3.150%, respectively. The trade date was set for March 4, 2024, with settlement on March 7, 2024. The offering was managed by a syndicate of agents led by InspereX, with participation from BofA Securities, Citigroup, Morgan Stanley, RBC Capital Markets, and Wells Fargo Advisors.
Verizon Communications Inc. has successfully issued two sets of Senior Unsecured Notes under its Verizon InterNotes program, as detailed in Pricing Supplement No. 152 filed under Rule 424(b)(2). The offering, which took place from February 26, 2024, through March 4, 2024, included a $290,000 principal amount note with a 4.900% fixed coupon rate, maturing on March 15, 2031, and a $128,000 principal amount note with a 5.300% fixed coupon rate, maturing on March 15, 2054. Both notes are callable at 100% starting March 15, 2025. The notes were sold at a 100% selling price, with the first coupon payment scheduled for September 15, 2024. The net proceeds from the sale of the notes were $285,795 for the 2031 maturity and $123,968 for the 2054 maturity, after accounting for gross concessions of 1.450% and 3.150%, respectively. The trade date was set for March 4, 2024, with settlement on March 7, 2024. The offering was managed by a syndicate of agents led by InspereX, with participation from BofA Securities, Citigroup, Morgan Stanley, RBC Capital Markets, and Wells Fargo Advisors.
威瑞森通訊公司已根據其Verizon InterNotes計劃成功發行了兩套優先無擔保票據,詳見根據第424(b)(2)條提交的第152號定價補充文件。此次發行於2024年2月26日至2024年3月4日進行,其中包括將於2031年3月15日到期的29萬美元本金票據,固定票面利率爲4.900%,以及將於2054年3月15日到期的12.8萬美元本金票據,固定票面利率爲5.300%。從2025年3月15日起,這兩張票據均可按100%贖回。這些票據以100%的售價出售,第一筆息票據定於2024年9月15日支付。扣除1.450%和3.150%的優惠總額後,出售2031年到期票據的淨收益爲285,795美元,2054年到期日的票據淨收益爲123,968美元。交易日期定爲2024年3月4日,結算日期爲2024年3月7日。此次發行由InspereX牽頭的代理集團管理,美國銀行證券、花旗集團、摩根士丹利、加拿大皇家銀行資本市場和富國銀行顧問公司也參與其中。
威瑞森通訊公司已根據其Verizon InterNotes計劃成功發行了兩套優先無擔保票據,詳見根據第424(b)(2)條提交的第152號定價補充文件。此次發行於2024年2月26日至2024年3月4日進行,其中包括將於2031年3月15日到期的29萬美元本金票據,固定票面利率爲4.900%,以及將於2054年3月15日到期的12.8萬美元本金票據,固定票面利率爲5.300%。從2025年3月15日起,這兩張票據均可按100%贖回。這些票據以100%的售價出售,第一筆息票據定於2024年9月15日支付。扣除1.450%和3.150%的優惠總額後,出售2031年到期票據的淨收益爲285,795美元,2054年到期日的票據淨收益爲123,968美元。交易日期定爲2024年3月4日,結算日期爲2024年3月7日。此次發行由InspereX牽頭的代理集團管理,美國銀行證券、花旗集團、摩根士丹利、加拿大皇家銀行資本市場和富國銀行顧問公司也參與其中。

譯文內容由第三人軟體翻譯。


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