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Oracle | 8-K: Issuance of $6.25 Billion Aggregate Principal Amount of Notes

Oracle | 8-K: Issuance of $6.25 Billion Aggregate Principal Amount of Notes

甲骨文 | 8-K:發行本金總額爲62.5億美元票據
美股SEC公告 ·  09/28 04:21

牛牛AI助理已提取核心訊息

On September 27, 2024, Oracle Corporation successfully completed the issuance and sale of $6.25 billion in aggregate principal amount of notes. The offering included $1.5 billion of 4.200% notes due in 2029, $1.75 billion of 4.700% notes due in 2034, $1.75 billion of 5.375% notes due in 2054, and $1.25 billion of 5.500% notes due in 2064. The sale was conducted in accordance with an underwriting agreement with major financial institutions including BofA Securities, Citigroup Global Markets, Goldman Sachs & Co., HSBC Securities (USA), and J.P. Morgan Securities. The notes were issued under an Indenture dated January 13, 2006, and subsequent amendments. Oracle plans to use the net proceeds to repay existing debts, including notes due in November 2024, April 2025, and May 2025, as well as commercial paper borrowings. Any remaining funds may be allocated to general corporate purposes, which could encompass stock repurchases, dividend payments, debt repayment, and potential future acquisitions.
On September 27, 2024, Oracle Corporation successfully completed the issuance and sale of $6.25 billion in aggregate principal amount of notes. The offering included $1.5 billion of 4.200% notes due in 2029, $1.75 billion of 4.700% notes due in 2034, $1.75 billion of 5.375% notes due in 2054, and $1.25 billion of 5.500% notes due in 2064. The sale was conducted in accordance with an underwriting agreement with major financial institutions including BofA Securities, Citigroup Global Markets, Goldman Sachs & Co., HSBC Securities (USA), and J.P. Morgan Securities. The notes were issued under an Indenture dated January 13, 2006, and subsequent amendments. Oracle plans to use the net proceeds to repay existing debts, including notes due in November 2024, April 2025, and May 2025, as well as commercial paper borrowings. Any remaining funds may be allocated to general corporate purposes, which could encompass stock repurchases, dividend payments, debt repayment, and potential future acquisitions.
2024年9月27日,Oracle公司成功完成了總額爲625億美元的票據發行和銷售。本次發行包括到期日爲2029年的15億美元4.200%票據,到期日爲2034年的17.5億美元4.700%票據,到期日爲2054年的17.5億美元5.375%票據,以及到期日爲2064年的12.5億美元5.500%票據。該銷售是根據與包括美國銀行證券、花旗全球市場、高盛公司、美國匯豐證券和摩根大通證券在內的主要金融機構的承銷協議進行的。票據是根據2006年1月13日簽署的契約及後續修訂而發行的。Oracle計劃使用淨收益償還現有債務,包括2024年11月、2025年4月和2025年5月到期的票據,以及商業票據借款。任何剩餘資金可能分配給一般企業用途,這可能包括股票回購、股息支付、償還債務和潛在的未來收購。
2024年9月27日,Oracle公司成功完成了總額爲625億美元的票據發行和銷售。本次發行包括到期日爲2029年的15億美元4.200%票據,到期日爲2034年的17.5億美元4.700%票據,到期日爲2054年的17.5億美元5.375%票據,以及到期日爲2064年的12.5億美元5.500%票據。該銷售是根據與包括美國銀行證券、花旗全球市場、高盛公司、美國匯豐證券和摩根大通證券在內的主要金融機構的承銷協議進行的。票據是根據2006年1月13日簽署的契約及後續修訂而發行的。Oracle計劃使用淨收益償還現有債務,包括2024年11月、2025年4月和2025年5月到期的票據,以及商業票據借款。任何剩餘資金可能分配給一般企業用途,這可能包括股票回購、股息支付、償還債務和潛在的未來收購。

譯文內容由第三人軟體翻譯。


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