share_log

424B5: Prospectus

424B5: Prospectus

424B5:募資說明書
美股SEC公告 ·  04/23 02:31

牛牛AI助理已提取核心訊息

Berkshire Hathaway Inc. has announced the issuance of ¥263,300,000,000 in senior notes, divided into seven tranches with varying interest rates and maturities ranging from 2027 to 2054. The offering includes ¥169,000,000,000 at 0.974% due 2027, ¥22,000,000,000 at 1.143% due 2029, ¥5,200,000,000 at 1.287% due 2030, ¥35,300,000,000 at 1.457% due 2031, ¥9,500,000,000 at 1.680% due 2034, ¥7,000,000,000 at 2.278% due 2044, and ¥15,300,000,000 at 2.498% due 2054. The notes are senior unsecured obligations and will rank equally with all other existing and future senior unsecured indebtedness of the company. The proceeds from the sale of the notes are intended for general corporate purposes. The joint book-running managers for the offering are BofA Securities and Mizuho Securities USA LLC. The notes are expected to be delivered on or about April 25, 2024.
Berkshire Hathaway Inc. has announced the issuance of ¥263,300,000,000 in senior notes, divided into seven tranches with varying interest rates and maturities ranging from 2027 to 2054. The offering includes ¥169,000,000,000 at 0.974% due 2027, ¥22,000,000,000 at 1.143% due 2029, ¥5,200,000,000 at 1.287% due 2030, ¥35,300,000,000 at 1.457% due 2031, ¥9,500,000,000 at 1.680% due 2034, ¥7,000,000,000 at 2.278% due 2044, and ¥15,300,000,000 at 2.498% due 2054. The notes are senior unsecured obligations and will rank equally with all other existing and future senior unsecured indebtedness of the company. The proceeds from the sale of the notes are intended for general corporate purposes. The joint book-running managers for the offering are BofA Securities and Mizuho Securities USA LLC. The notes are expected to be delivered on or about April 25, 2024.
伯克希爾·哈撒韋公司宣佈發行2.633億日元的優先票據,分爲七批,利率各不相同,到期日從2027年到2054年不等。本次發行包括2027年到期的1.69億日元、按0.974%到期的利率爲1.143%的22,000,000,000日元、2030年到期的按1.287%計息的52億日元、2031年到期的按1.457%的利率計息的353億日元、2034年到期的按1.680%的比例計算的9500,000,000日元、2044年到期的7,000,000,000日元(2.278%)和15,300,000,000日元(按2.498%到期)2054。每個系列票據的利息將從最初的發行日期(預計爲2024年4月25...展開全部
伯克希爾·哈撒韋公司宣佈發行2.633億日元的優先票據,分爲七批,利率各不相同,到期日從2027年到2054年不等。本次發行包括2027年到期的1.69億日元、按0.974%到期的利率爲1.143%的22,000,000,000日元、2030年到期的按1.287%計息的52億日元、2031年到期的按1.457%的利率計息的353億日元、2034年到期的按1.680%的比例計算的9500,000,000日元、2044年到期的7,000,000,000日元(2.278%)和15,300,000,000日元(按2.498%到期)2054。每個系列票據的利息將從最初的發行日期(預計爲2024年4月25日)開始累計,並將每半年支付一次。這些票據是優先無抵押債務,將與所有其他現有和未來的優先無抵押債務相同。這些票據的最低發行面額爲1億日元,之後將以1,000萬日元的倍數發行。此次發行由聯席賬面運營經理美銀證券和瑞穗管理,票據未在任何證券交易所上市。所得款項用於一般公司用途。

譯文內容由第三人軟體翻譯。


牛牛AI助手部分由第三方人工智慧模型基於資訊內容自動產生。


以上內容僅用作資訊或教育之目的,不構成與富途相關的任何投資建議。富途竭力但無法保證上述全部內容的真實性、準確性和原創性。