share_log

Bristol-Myers Squibb | 424B5: Prospectus

施貴寶 | 424B5:募資說明書

SEC announcement ·  02/17 05:39
牛牛AI助理已提取核心訊息
Bristol-Myers Squibb (BMY) has announced the issuance of $13 billion in various tranches of debt securities. The offering includes $500 million Floating Rate Notes due 2026, $1 billion 4.950% Notes due 2026, $1 billion 4.900% Notes due 2027, $1.75 billion 4.900% Notes due 2029, $1.25 billion 5.100% Notes due 2031, $2.5 billion 5.200% Notes due 2034, $500 million 5.500% Notes due 2044, $2.75 billion 5.550% Notes due 2054, and $1.75 billion 5.650% Notes due 2064. The notes were offered through a syndicate of underwriters led by Citigroup, BofA Securities, Wells Fargo Securities, and Mizuho. The proceeds from the offering are intended for general corporate purposes, which may include the repayment of existing debt, funding for acquisitions, and other business expansion activities. The announcement was made on February 14, 2024, and the offering is expected to close on February 22, 2024.
Bristol-Myers Squibb (BMY) has announced the issuance of $13 billion in various tranches of debt securities. The offering includes $500 million Floating Rate Notes due 2026, $1 billion 4.950% Notes due 2026, $1 billion 4.900% Notes due 2027, $1.75 billion 4.900% Notes due 2029, $1.25 billion 5.100% Notes due 2031, $2.5 billion 5.200% Notes due 2034, $500 million 5.500% Notes due 2044, $2.75 billion 5.550% Notes due 2054, and $1.75 billion 5.650% Notes due 2064. The notes were offered through a syndicate of underwriters led by Citigroup, BofA Securities, Wells Fargo Securities, and Mizuho. The proceeds from the offering are intended for general corporate purposes, which may include the repayment of existing debt, funding for acquisitions, and other business expansion activities. The announcement was made on February 14, 2024, and the offering is expected to close on February 22, 2024.
百時美施貴寶(BMY)宣佈發行130億美元的各類債務證券。此次發行包括2026年到期的5億美元浮動利率票據、2026年到期的10億美元4.950%的票據、2027年到期的10億美元4.900%的票據、2029年到期的17.5億美元4.900%的票據、2034年到期的25億美元5.200%的票據、2044年到期的27.5億美元5.550%的票據,2054年到期的27.5億美元5.550%的票據,以及2054年到期的27.5億美元5.550%的票據 64。這些票據由花旗集團、美銀證券、富國銀行證券和瑞穗爲首的承銷商集團發行。此次發行的收益用於一般公司用途,其中可能包括償還現有債務、爲收購提供資金和其他業務擴張活動。該公告於2024年2月14日發佈,預計將於2024年2月22日結束。
百時美施貴寶(BMY)宣佈發行130億美元的各類債務證券。此次發行包括2026年到期的5億美元浮動利率票據、2026年到期的10億美元4.950%的票據、2027年到期的10億美元4.900%的票據、2029年到期的17.5億美元4.900%的票據、2034年到期的25億美元5.200%的票據、2044年到期的27.5億美元5.550%的票據,2054年到期的27.5億美元5.550%的票據,以及2054年到期的27.5億美元5.550%的票據 64。這些票據由花旗集團、美銀證券、富國銀行證券和瑞穗爲首的承銷商集團發行。此次發行的收益用於一般公司用途,其中可能包括償還現有債務、爲收購提供資金和其他業務擴張活動。該公告於2024年2月14日發佈,預計將於2024年2月22日結束。

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,只对除中国内地以外的地区提供。


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。