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| | Notes due 2029 | | Notes due 2034 | | Notes due 2054 |
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Security Type: | | $450,000,000 4.800% Senior Notes due 2029 | | $300,000,000 5.150% Senior Notes due 2034 | | $750,000,000 5.800% Senior Notes due 2054 |
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Maturity Date: | | November 15, 2029 | | March 15, 2034 | | November 15, 2054 |
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Interest Payment Dates: | | November 15 and May 15, commencing November 15, 2024 | | March 15 and September 15, commencing September 15, 2024 | | November 15 and May 15, commencing November 15, 2024 |
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Principal Amount: | | $450,000,000 | | $300,000,000 (for an aggregate principal amount outstanding of $1,300,000,000, together with the existing 2034 notes) | | $750,000,000 |
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Benchmark Treasury: | | 4.000% due July 31, 2029 | | 4.375% due May 15, 2034 | | 4.250% due February 15, 2054 |
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Benchmark Treasury Price: | | 100-22+ | | 102-30 | | 98-29 |
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Benchmark Treasury Yield: | | 3.843% | | 4.008% | | 4.316% |
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Spread to Benchmark Treasury: | | 100 bps | | 127 bps | | 150 bps |
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Re-Offer Yield: | | 4.843% | | 5.278% | | 5.816% |
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Coupon: | | 4.800% | | 5.150% | | 5.800% |
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Public Offering Price: | | 99.810% of the principal amount | | 99.037% of the principal amount, plus accrued interest from, and including, January 5, 2024 to, but excluding, August 13, 2024 in the amount of $9,355,833.33 | | 99.784% of the principal amount |
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Make-Whole Call: | | T+15 bps (prior to October 15, 2029) | | T+20 bps (prior to December 15, 2033) | | T+25 bps (prior to May 15, 2054) |
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Par Call: | | On or after October 15, 2029 | | On or after December 15, 2033 | | On or after May 15, 2054 |
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CUSIP / ISIN: | | 969457 CL2 US969457CL23 | | 88339W AC0 US88339WAC01 | | 969457 CN8 US969457CN88 |