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Principal Amount: | | $450,000,000 |
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Maturity Date: | | March 6, 2028 |
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Coupon: | | Compounded SOFR (as defined under “Description of the Notes—Maturity and Interest—Floating Rate Notes” in the preliminary prospectus supplement dated March 3, 2025), reset quarterly, plus 0.670% per year |
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Price to Public: | | 100.000% of the principal amount |
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Floating Rate Interest Payment Dates: | | Quarterly in arrears on each March 6, June 6, September 6 and December 6, commencing June 6, 2025 |
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Day Count Convention: | | Actual/360 |
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Calculation Agent: | | Computershare Trust Company, N.A. |
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Interest Reset Dates: | | The first day of each interest period other than the initial interest period |
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Initial Interest Rate: | | The initial interest rate will be Compounded SOFR determined on June 4, 2025, plus 67 basis points |
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Interest Payment Determination Date: | | Two U.S. Government Securities Business Days before each floating rate interest payment date (or in the final interest period, before the applicable maturity date) |
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Interest Period: | | The period commencing on the applicable floating rate interest payment date (or, in the case of the initial interest period, commencing on the settlement date) to, but excluding, the next succeeding floating rate interest payment date, and in the case of the last such interest period, from, and including, the floating rate interest payment date immediately preceding the maturity date for the floating rate notes to, but excluding, such maturity date |
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Observation Period: | | The period from, and including, the date two U.S. Government Securities Business Days preceding the first date in such interest period to, but excluding, the date two U.S. Government Securities Business Days preceding the floating rate interest payment date for such interest period (or in the final interest period, preceding the applicable maturity date); provided that the first Observation Period shall be the period from and including two U.S. Government Securities Business Days preceding the settlement date of the floating rate notes to, but excluding, the two U.S. Government Securities Business Days preceding the first floating rate interest payment date |
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Optional Redemption: | | PayPal Holdings, Inc. may not redeem the 2028 Floating Rate Notes prior to maturity |
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CUSIP / ISIN: | | 70450YAR4 / US70450YAR45 |
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Net Proceeds Before Expenses: | | $448,875,000 |