Prices $350M 5.200% senior unsecured notes due 2036
Notes priced at 99.015% of principal, with 5.324% yield to maturity and +95 bps spread to benchmark Treasury. - - Settlement expected July 2nd; notes mature Sept. 15th, 2036. Interest payable Mar. 15th and Sept. 15th, beginning Mar. 15th, 2027.
Notes priced at 99.015% of principal, with 5.324% yield to maturity and +95 bps spread to benchmark Treasury. - - Settlement expected July 2nd; notes mature Sept.
15th, 2036.
Interest payable Mar.
15th and Sept.
15th, beginning Mar.
15th, 2027.