Brookfield Corporation Corporation 提供700M元的附属票据,初始利率为6.30%,2055年到期。
Brookfield Corporation offers $700M in subordinated notes with a 6.300% initial rate, maturing in 2055.
Brookfield Corporation正以2055年到期的附属票据提供7亿美元。
Brookfield Corporation is offering $700 million in subordinated notes due 2055.
这些票据的初始利率在2035年之前为6.300%,此后,根据美国5年的国库利率加上2.076 %,利率将每5年重新确定一次。
The notes have an initial interest rate of 6.300% until 2035, after which the rate will reset every five years based on the five-year U.S. Treasury rate plus 2.076%.
这些票据由Brookfield金融公司(一家子公司)发行,由Brookfield公司担保。
Issued by Brookfield Finance Inc., a subsidiary, the notes are guaranteed by Brookfield.
收益将用于公司的一般需要,供货将于2024年12月17日终止。
Proceeds will be used for general corporate needs, with the offering set to close on December 17, 2024.