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Verizon | 424B2: Prospectus

Verizon | 424B2: Prospectus

Verizon | 424B2:募資說明書
美股sec公告 ·  05/07 01:59
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Verizon Communications Inc. has successfully issued two sets of Senior Unsecured Notes under its Verizon InterNotes program, as detailed in its Pricing Supplement No. 157 filed under Rule 424(b)(2). The offering, which took place from April 29, 2024, to May 6, 2024, included a $1,311,000.00 tranche with a 5.100% coupon rate maturing on May 15, 2029, and a $508,000.00 tranche with a 5.300% coupon rate maturing on May 15, 2034. Both tranches offer semi-annual coupon payments and feature a survivor's option. The notes were priced at 100% of the principal amount, with the first tranche having a gross concession of 1.250% and net proceeds of $1,294,612.50, while the second tranche had a gross concession of 1.800% and net proceeds of $498,856.00. The notes are callable at 100% starting on May 15, 2025, for the first tranche, and May 15, 2026, for...Show More
Verizon Communications Inc. has successfully issued two sets of Senior Unsecured Notes under its Verizon InterNotes program, as detailed in its Pricing Supplement No. 157 filed under Rule 424(b)(2). The offering, which took place from April 29, 2024, to May 6, 2024, included a $1,311,000.00 tranche with a 5.100% coupon rate maturing on May 15, 2029, and a $508,000.00 tranche with a 5.300% coupon rate maturing on May 15, 2034. Both tranches offer semi-annual coupon payments and feature a survivor's option. The notes were priced at 100% of the principal amount, with the first tranche having a gross concession of 1.250% and net proceeds of $1,294,612.50, while the second tranche had a gross concession of 1.800% and net proceeds of $498,856.00. The notes are callable at 100% starting on May 15, 2025, for the first tranche, and May 15, 2026, for the second, with a 10-day notice period. The trade date was set for May 6, 2024, with settlement on May 9, 2024. The offering was managed by InspereX with several notable agents including BofA Securities, Citigroup, Morgan Stanley, RBC Capital Markets, and Wells Fargo Advisors. The notes will be represented by a Master Note in fully registered form, to be deposited with DTC or another depository as named in a subsequent pricing supplement.
威瑞森通訊公司已根據其Verizon InterNotes計劃成功發行了兩套優先無擔保票據,詳見其根據第424(b)(2)條提交的第157號定價補充文件。此次發行於2024年4月29日至2024年5月6日進行,其中包括1,311,000.00美元的債券,票面利率爲5.100%,將於2029年5月15日到期,以及508,000.00美元,票面利率爲5.300%,將於2034年5月15日到期。這兩部分都提供半年息票付款,並設有幸存者期權。這些票據的定價爲本金的100%,第一批票據的總優惠額爲1.250%,淨收益爲1,294,612.50美元,而第二批票據的總優惠額爲1.800%,淨收益爲498,8...展開全部
威瑞森通訊公司已根據其Verizon InterNotes計劃成功發行了兩套優先無擔保票據,詳見其根據第424(b)(2)條提交的第157號定價補充文件。此次發行於2024年4月29日至2024年5月6日進行,其中包括1,311,000.00美元的債券,票面利率爲5.100%,將於2029年5月15日到期,以及508,000.00美元,票面利率爲5.300%,將於2034年5月15日到期。這兩部分都提供半年息票付款,並設有幸存者期權。這些票據的定價爲本金的100%,第一批票據的總優惠額爲1.250%,淨收益爲1,294,612.50美元,而第二批票據的總優惠額爲1.800%,淨收益爲498,856.00美元。第一批票據自2025年5月15日起可按100%贖回,第二批票據自2026年5月15日起,通知期爲10天。交易日期定爲2024年5月6日,結算日期爲2024年5月9日。此次發行由InspereX管理,包括美銀證券、花旗集團、摩根士丹利、加拿大皇家銀行資本市場和富國銀行顧問在內的幾家知名代理商。這些票據將以正式註冊形式的主票據代表,存放在DTC或隨後的定價補充文件中指定的其他存管機構。

譯文內容由第三人軟體翻譯。


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