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Verizon | 424B2: Prospectus

Verizon | 424B2:募资说明书

SEC announcement ·  03/12 01:32
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Verizon Communications Inc. has successfully completed a pricing supplement under Rule 424(b)(2) with File No. 333-267245, as detailed in the document dated March 11, 2024. The offering, which took place from March 4, 2024, to March 11, 2024, included two tranches of Senior Unsecured Notes. The first tranche, with a CUSIP of 92346MMT5, was offered at a principal amount of $105,000.00, featuring a fixed coupon rate of 4.900% and a maturity date of March 15, 2031. The second tranche, CUSIP 92346MMU2, had a significantly larger principal amount of $5,161,000.00, a fixed coupon rate of 5.400%, and a longer maturity date of March 15, 2054. Both tranches are callable at 100% starting March 15, 2025, with a 10-day notice period. The notes were sold at a price of 100% of the principal amount, with the first coupon payment scheduled for September 15, 2024. Verizon...Show More
Verizon Communications Inc. has successfully completed a pricing supplement under Rule 424(b)(2) with File No. 333-267245, as detailed in the document dated March 11, 2024. The offering, which took place from March 4, 2024, to March 11, 2024, included two tranches of Senior Unsecured Notes. The first tranche, with a CUSIP of 92346MMT5, was offered at a principal amount of $105,000.00, featuring a fixed coupon rate of 4.900% and a maturity date of March 15, 2031. The second tranche, CUSIP 92346MMU2, had a significantly larger principal amount of $5,161,000.00, a fixed coupon rate of 5.400%, and a longer maturity date of March 15, 2054. Both tranches are callable at 100% starting March 15, 2025, with a 10-day notice period. The notes were sold at a price of 100% of the principal amount, with the first coupon payment scheduled for September 15, 2024. Verizon has outlined that the net proceeds from the offering will be $103,477.50 and $4,998,428.50 for the respective tranches, after accounting for the selling price and gross concession. The offering was managed by InspereX as the Joint Lead Manager and Lead Agent, with additional agents including BofA Securities, Citigroup, Morgan Stanley, RBC Capital Markets, and Wells Fargo Advisors. The Verizon InterNotes® will be represented by a Master Note in fully registered form and will be deposited with DTC or another depository as named in a subsequent pricing supplement.
Verizon Communications Inc.已成功完成了第424(b)(2)条规定的定价补充,文件编号为333-267245,详见2024年3月11日的文件。此次发行于2024年3月4日至2024年3月11日进行,其中包括两批优先无抵押票据。第一批债券的CUSIP为 92346MMT5,本金为105,000.00美元,固定票面利率为4.900%,到期日为2031年3月15日。第二批CUSIP 92346MMU2 的本金要高得多,为5,161,000.00美元,固定票面利率为5.400%,到期日更长,为2054年3月15日。自2025年3月15日起,这两部分均可按100%赎回,通知期为...展开全部
Verizon Communications Inc.已成功完成了第424(b)(2)条规定的定价补充,文件编号为333-267245,详见2024年3月11日的文件。此次发行于2024年3月4日至2024年3月11日进行,其中包括两批优先无抵押票据。第一批债券的CUSIP为 92346MMT5,本金为105,000.00美元,固定票面利率为4.900%,到期日为2031年3月15日。第二批CUSIP 92346MMU2 的本金要高得多,为5,161,000.00美元,固定票面利率为5.400%,到期日更长,为2054年3月15日。自2025年3月15日起,这两部分均可按100%赎回,通知期为10天。这些票据以本金的100%的价格出售,第一笔息票据定于2024年9月15日支付。威瑞森概述,扣除销售价格和总特许权后,本次发行的净收益将分别为103,477.50美元和4,998,428.50美元。此次发行由InspereX作为联合牵头经纪人和首席代理人管理,其他代理商包括美银证券、花旗集团、摩根士丹利、加拿大皇家银行资本市场和富国银行顾问公司。Verizon InterNotes® 将由一份以完全注册形式的主票据代表,并将存放在DTC或随后的定价补充文件中指定的其他存管机构。

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