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Verizon | 424B2: Prospectus

Verizon | 424B2: Prospectus

Verizon | 424B2:募資說明書
美股sec公告 ·  06/18 02:10
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Verizon Communications Inc. has successfully priced its offering of Senior Unsecured Notes under its Verizon InterNotes program, according to a Pricing Supplement filed under Rule 424(b)(2). The offering, which took place from June 10, 2024, to June 17, 2024, included two tranches of notes. The first tranche, with a CUSIP number of 92346MNM9, raised $1,322,000.00 at a fixed coupon rate of 5.000%, maturing on June 15, 2029. The second tranche, CUSIP number 92346MNN7, raised $1,038,000.00 at a fixed coupon rate of 5.150%, maturing on June 15, 2034. Both tranches offer semi-annual coupon payments and feature a survivor's option. The notes are callable at 100% starting from June 15, 2025, for the first tranche, and from June 15, 2026, for the second, with a 10-day notice period. The trade date was set for June 17, 2024, with settlement scheduled for June 21, 2024, following a T+3 settlement cycle. The notes were offered in minimum denominations of $1,000 and were managed by a syndicate of agents led by InspereX, with participation from BofA Securities, Citigroup, Morgan Stanley, RBC Capital Markets, and Wells Fargo Advisors.
Verizon Communications Inc. has successfully priced its offering of Senior Unsecured Notes under its Verizon InterNotes program, according to a Pricing Supplement filed under Rule 424(b)(2). The offering, which took place from June 10, 2024, to June 17, 2024, included two tranches of notes. The first tranche, with a CUSIP number of 92346MNM9, raised $1,322,000.00 at a fixed coupon rate of 5.000%, maturing on June 15, 2029. The second tranche, CUSIP number 92346MNN7, raised $1,038,000.00 at a fixed coupon rate of 5.150%, maturing on June 15, 2034. Both tranches offer semi-annual coupon payments and feature a survivor's option. The notes are callable at 100% starting from June 15, 2025, for the first tranche, and from June 15, 2026, for the second, with a 10-day notice period. The trade date was set for June 17, 2024, with settlement scheduled for June 21, 2024, following a T+3 settlement cycle. The notes were offered in minimum denominations of $1,000 and were managed by a syndicate of agents led by InspereX, with participation from BofA Securities, Citigroup, Morgan Stanley, RBC Capital Markets, and Wells Fargo Advisors.
根據根據根據第424(b)(2)條規定提交的定價補充說明,Verizon通信公司已成功定價其Verizon InterNotes計劃下的無擔保上級票據發行。該發行從2024年6月10日至2024年6月17日進行,包括兩個票據發行。第一批票據以92346MNM9的CUSIP號發行,以固定票價5.000%的利率募集了1322萬美元,到期日爲2029年6月15日。第二批票據以92346MNN7的CUSIP號發行,以固定票價5.150%的利率募集了1038萬美元,到期日爲2034年6月15日。兩批票據均提供半年度票息支付,並具有生存者權。票據可在第一筆票據自2025年6月15日開始以100%的價格購買...展開全部
根據根據根據第424(b)(2)條規定提交的定價補充說明,Verizon通信公司已成功定價其Verizon InterNotes計劃下的無擔保上級票據發行。該發行從2024年6月10日至2024年6月17日進行,包括兩個票據發行。第一批票據以92346MNM9的CUSIP號發行,以固定票價5.000%的利率募集了1322萬美元,到期日爲2029年6月15日。第二批票據以92346MNN7的CUSIP號發行,以固定票價5.150%的利率募集了1038萬美元,到期日爲2034年6月15日。兩批票據均提供半年度票息支付,並具有生存者權。票據可在第一筆票據自2025年6月15日開始以100%的價格購買,在第二筆票據自2026年6月15日開始以100%的價格購買,預先通知期爲10天。交易日期定於2024年6月17日,結算日期設定爲2024年6月21日,遵循T+3的結算週期。這些票據的最低面值爲1000美元,並由由InspereX領導的代理銀行組管理,在銀行代理中,包括BofA證券,花旗集團,大摩資源Lof,RBC資本市場和富國證券。

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