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Verizon | 424B2: Prospectus

Verizon | 424B2: Prospectus

Verizon | 424B2:募資說明書
美股SEC公告 ·  02:52
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Verizon Communications Inc. has successfully priced two sets of senior unsecured notes under its Verizon InterNotes program, according to a Pricing Supplement filed under Rule 424(b)(2). The first set of notes, with a CUSIP number of 92346MNV9, has a principal amount of $708,000.00, a selling price of 100%, a gross concession of 1.250%, and net proceeds of $699,150.00. These notes carry a fixed coupon rate of 4.150%, payable semi-annually, with a maturity date of 09/15/2029. The first coupon payment is scheduled for 3/15/2025, and the notes are callable at 100% on 9/15/2025 with 10 days' notice. The second set, CUSIP number 92346MNW7, has a principal amount of $3,131,000.00, a selling price of 100%, a gross concession of 3.150%, and net proceeds of $3,032,373.50. These notes have a fixed coupon rate of 5.150%, also payable semi-annually...Show More
Verizon Communications Inc. has successfully priced two sets of senior unsecured notes under its Verizon InterNotes program, according to a Pricing Supplement filed under Rule 424(b)(2). The first set of notes, with a CUSIP number of 92346MNV9, has a principal amount of $708,000.00, a selling price of 100%, a gross concession of 1.250%, and net proceeds of $699,150.00. These notes carry a fixed coupon rate of 4.150%, payable semi-annually, with a maturity date of 09/15/2029. The first coupon payment is scheduled for 3/15/2025, and the notes are callable at 100% on 9/15/2025 with 10 days' notice. The second set, CUSIP number 92346MNW7, has a principal amount of $3,131,000.00, a selling price of 100%, a gross concession of 3.150%, and net proceeds of $3,032,373.50. These notes have a fixed coupon rate of 5.150%, also payable semi-annually, with a longer maturity date of 09/15/2054, and are callable at 100% on 9/15/2026 with 10 days' notice. The offering period for these notes was from September 10, 2024, to September 16, 2024, with a trade date of September 16, 2024, and a settlement date of September 19, 2024. The notes will be delivered on a T+3 settlement cycle. The joint lead manager and lead agent for the offering was InspereX, with additional agents including BofA Securities, Citigroup, Morgan Stanley, RBC Capital Markets, and Wells Fargo Advisors.
verizon通信-半導體股份有限公司已成功定價其在verizon InterNotes方案下的兩套無擔保優先票據,根據根據規則424(b)(2)文件提交的定價補充公告。第一套票據,CUSIP編號爲92346MNV9,票面金額爲708,000.00美元,發行價爲100%,總淨額外費用爲1.250%,淨收入爲699,150.00美元。這些票據攜帶4.150%的固定票面利率,半年付息,到期日爲2029年09月15日。第一次票息支付定於2025年03月15日,可以在2025年09月15日提前10天通知以100%的價格贖回。第二套,CUSIP編號爲92346MNW7,票面金額爲3,131,000.00...展開全部
verizon通信-半導體股份有限公司已成功定價其在verizon InterNotes方案下的兩套無擔保優先票據,根據根據規則424(b)(2)文件提交的定價補充公告。第一套票據,CUSIP編號爲92346MNV9,票面金額爲708,000.00美元,發行價爲100%,總淨額外費用爲1.250%,淨收入爲699,150.00美元。這些票據攜帶4.150%的固定票面利率,半年付息,到期日爲2029年09月15日。第一次票息支付定於2025年03月15日,可以在2025年09月15日提前10天通知以100%的價格贖回。第二套,CUSIP編號爲92346MNW7,票面金額爲3,131,000.00美元,發行價爲100%,總淨額外費用爲3.150%,淨收入爲3,032,373.50美元。這些票據具有5.150%的固定票面利率,同樣半年付息,更長到期日爲2054年09月15日,並且可以在2026年09月15日提前10天通知以100%的價格贖回。這些票據的發行期從2024年09月10日到2024年09月16日,交易日期爲2024年09月16日,結算日期爲2024年09月19日。這些票據將在T+3的結算週期內交付。此次發行的聯席主承銷商和主代理是InspereX,其他代理包括美銀證券、花旗集團、摩根士丹利、RBC資本市場和富國銀行顧問。

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