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Verizon | 424B2: Prospectus

Verizon | 424B2: Prospectus

Verizon | 424B2:募資說明書
美股sec公告 ·  06/04 01:41
牛牛AI助理已提取核心訊息
Verizon Communications Inc. has successfully completed the offering of its Senior Unsecured Notes under the terms outlined in Pricing Supplement No. 160, as part of its Verizon InterNotes program. The offering, which took place from May 28, 2024, through June 3, 2024, included two tranches of notes. The first tranche, with a CUSIP Number of 92346MNH0, was offered at a principal amount of $106,000.00, featuring a fixed coupon rate of 5.000% and a maturity date of June 15, 2029. The second tranche, CUSIP Number 92346MNJ6, had a principal amount of $47,000.00, a fixed coupon rate of 5.100%, and a maturity date of June 15, 2034. Both tranches are callable, with the first callable on June 15, 2025, and the second on June 15, 2026. The notes were sold at 100% of their principal amount, with the first coupon payment scheduled...Show More
Verizon Communications Inc. has successfully completed the offering of its Senior Unsecured Notes under the terms outlined in Pricing Supplement No. 160, as part of its Verizon InterNotes program. The offering, which took place from May 28, 2024, through June 3, 2024, included two tranches of notes. The first tranche, with a CUSIP Number of 92346MNH0, was offered at a principal amount of $106,000.00, featuring a fixed coupon rate of 5.000% and a maturity date of June 15, 2029. The second tranche, CUSIP Number 92346MNJ6, had a principal amount of $47,000.00, a fixed coupon rate of 5.100%, and a maturity date of June 15, 2034. Both tranches are callable, with the first callable on June 15, 2025, and the second on June 15, 2026. The notes were sold at 100% of their principal amount, with the first coupon payment scheduled for December 15, 2024. The settlement date for the notes was June 6, 2024, with an initial T+3 settlement cycle. InspereX served 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 notes will be represented by a Master Note in fully registered form, to be deposited with DTC or another depository.
Verizon communications inc 已經成功地按照價格補充協議160號完成了其債券無擔保債券的發行,作為其Verizon InterNotes項目的一部分。該發行始於2024年5月28日,結束於2024年6月3日,包括兩種債券的發行。第一個債券融資本金為106,000.00美元,CUSIP號碼為92346MNH0,採用固定票息利率為5.000%,到期日為2029年6月15日。第二個債券融資本金為47,000.00美元,CUSIP號碼為92346MNJ6,採用固定票息利率為5.100%,到期日為2034年6月15日。兩種債券都可以被召回,第一次可於2025年6月15日召回,第二...展開全部
Verizon communications inc 已經成功地按照價格補充協議160號完成了其債券無擔保債券的發行,作為其Verizon InterNotes項目的一部分。該發行始於2024年5月28日,結束於2024年6月3日,包括兩種債券的發行。第一個債券融資本金為106,000.00美元,CUSIP號碼為92346MNH0,採用固定票息利率為5.000%,到期日為2029年6月15日。第二個債券融資本金為47,000.00美元,CUSIP號碼為92346MNJ6,採用固定票息利率為5.100%,到期日為2034年6月15日。兩種債券都可以被召回,第一次可於2025年6月15日召回,第二次可於2026年6月15日召回。債券以其面額的100%出售,第一次償付利息的日期定為2024年12月15日。債券的結算日期為2024年6月6日,結算週期為T+3。InspereX擔任聯合主承銷商和主要代理商,其他代理商包括BofA Securities、花旗集團、大摩資源lof、RBC資本市場和Wells Fargo Advisors。債券將由一個完全註冊形式的主債券代表,存放在DTC或其他存儲機構中。

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