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6-K: Report of foreign private issuer [Rules 13a-16 and 15d-16]

6-K: Report of foreign private issuer [Rules 13a-16 and 15d-16]

6-K:外國發行人報告
美股SEC公告 ·  11/20 19:11

牛牛AI助理已提取核心訊息

Alibaba Group Holding Limited, a prominent global e-commerce conglomerate, has announced the pricing of a significant dual offering of senior unsecured notes on November 19, 2024. The offering includes US$2.65 billion in U.S. dollar-denominated notes and RMB17 billion in RMB-denominated notes. The U.S. dollar notes are divided into three tranches with varying interest rates and maturities, ranging from 4.875% due in 2030 to 5.625% due in 2054. Similarly, the RMB notes are offered in four tranches with interest rates from 2.65% to 3.50% and maturities extending from 2028 to 2044. Alibaba intends to close the offering of the USD Notes on November 26, 2024, and the RMB Notes on November 28, 2024, subject to customary closing conditions. The company plans to use the net proceeds for general corporate purposes, including...Show More
Alibaba Group Holding Limited, a prominent global e-commerce conglomerate, has announced the pricing of a significant dual offering of senior unsecured notes on November 19, 2024. The offering includes US$2.65 billion in U.S. dollar-denominated notes and RMB17 billion in RMB-denominated notes. The U.S. dollar notes are divided into three tranches with varying interest rates and maturities, ranging from 4.875% due in 2030 to 5.625% due in 2054. Similarly, the RMB notes are offered in four tranches with interest rates from 2.65% to 3.50% and maturities extending from 2028 to 2044. Alibaba intends to close the offering of the USD Notes on November 26, 2024, and the RMB Notes on November 28, 2024, subject to customary closing conditions. The company plans to use the net proceeds for general corporate purposes, including the repayment of offshore debt and share repurchases. The notes have not been registered under the U.S. Securities Act of 1933 and are being offered to qualified institutional buyers and non-U.S. persons in offshore transactions. Alibaba also plans to enter into a registration rights agreement to potentially exchange the USD Notes for registered securities in the future. The announcement includes forward-looking statements and indicates that the completion of the offering is subject to market conditions and customary closing conditions.
阿里巴巴(臨時代碼)控股有限公司,這家知名的全球電子商務企業,已宣佈在2024年11月19日定價一項重要的雙重發行高級無擔保票據。此次發行包括26.5億美金的美元計價票據和170億人民幣的人民幣計價票據。美元票據分爲三個不同的部分,利率和到期日各不相同,利率範圍從2030年的4.875%到2054年的5.625%。類似地,人民幣票據分爲四個部分,利率從2.65%到3.50%不等,到期日從2028年延續到2044年。阿里巴巴計劃在2024年11月26日完成美元票據的發行,在2024年11月28日完成人民幣票據的發行,需遵循慣例的交割條件。公司計劃將淨收益用於一般企業用途,包括償還離岸債務和股票回購。該票據未在美國1933年證券法下注冊,正向合格的機構買家和非美國人士在離岸交易中提供。阿里巴巴還計劃達成一項註冊權利協議,以便未來將美元票據可能兌換爲已註冊證券。公告中包含前瞻性聲明,表明發行的完成取決於市場條件和慣例的交割條件。
阿里巴巴(臨時代碼)控股有限公司,這家知名的全球電子商務企業,已宣佈在2024年11月19日定價一項重要的雙重發行高級無擔保票據。此次發行包括26.5億美金的美元計價票據和170億人民幣的人民幣計價票據。美元票據分爲三個不同的部分,利率和到期日各不相同,利率範圍從2030年的4.875%到2054年的5.625%。類似地,人民幣票據分爲四個部分,利率從2.65%到3.50%不等,到期日從2028年延續到2044年。阿里巴巴計劃在2024年11月26日完成美元票據的發行,在2024年11月28日完成人民幣票據的發行,需遵循慣例的交割條件。公司計劃將淨收益用於一般企業用途,包括償還離岸債務和股票回購。該票據未在美國1933年證券法下注冊,正向合格的機構買家和非美國人士在離岸交易中提供。阿里巴巴還計劃達成一項註冊權利協議,以便未來將美元票據可能兌換爲已註冊證券。公告中包含前瞻性聲明,表明發行的完成取決於市場條件和慣例的交割條件。

譯文內容由第三人軟體翻譯。


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