| | | | | | |
Issuer: | | CenterPoint Energy, Inc. (the “Issuer”) |
| |
Legal Format: | | SEC Registered |
| |
Anticipated Ratings*: | | Baa2 (stable) / BBB (stable) / BBB (stable) (Moody’s / S&P / Fitch) |
| | | |
Security: | | 1.45% Senior Notes due 2026 | | 2.65% Senior Notes due 2031 | | Floating Rate Senior Notes due 2024 |
| | | |
Principal Amount: | | $500,000,000 | | $500,000,000 | | $700,000,000 |
| | | |
Maturity Date: | | June 1, 2026 | | June 1, 2031 | | May 13, 2024 |
| | | |
Interest Payment Dates: | | June 1 and December 1 of each year, commencing December 1, 2021 | | June 1 and December 1 of each year, commencing December 1, 2021 | | February 13, May 13, August 13 and November 13 of each year, commencing August 13, 2021 |
| | | |
Coupon: | | 1.45% | | 2.65% | | Floating rate based on Compounded SOFR plus 0.65%; calculated quarterly. |
| | | |
Benchmark Treasury: | | 0.750% due April 30, 2026 | | 1.125% due February 15, 2031 | | N/A |
| | | |
Benchmark Treasury Yield: | | 0.798% | | 1.622% | | N/A |
| | | |
Spread to Benchmark Treasury: | | +70 basis points | | +105 basis points | | N/A |
| | | |
Re-offer Yield: | | 1.498% | | 2.672% | | N/A |
| | | |
Price to Public: | | 99.767% of the principal amount | | 99.806% of the principal amount | | 100.000% of the principal amount |
| | | |
Optional Redemption: | | Prior to May 1, 2026, greater of 100% or make-whole at a discount rate of Treasury plus 10 basis points (calculated to May 1, 2026); and on or after May 1, 2026, 100% plus, in either case, accrued and unpaid interest. | | Prior to March 1, 2031, greater of 100% or make-whole at a discount rate of Treasury plus 15 basis points (calculated to March 1, 2031); and on or after March 1, 2031, 100% plus, in either case, accrued and unpaid interest. | | Not redeemable prior to May 13, 2022. On or after May 13, 2022, in whole or in part, at 100% of the principal amount of the Floating Rate Senior Notes due 2024 being redeemed plus accrued and unpaid interest thereon to but excluding the date of redemption. |
| | | |
CUSIP/ISIN: | | 15189T BA4 / US15189TBA43 | | 15189T BB2 / US15189TBB26 | | 15189T AZ0 / US15189TAZ03 |
| |
Denominations: | | $2,000 and integral multiples of $1,000 in excess thereof |
| |
Trade Date: | | May 11, 2021 |
| |
Expected Settlement Date: | | May 13, 2021 |