Interest Rates: | | The 2029 Notes will bear interest (i) during the 2029 Notes Fixed Rate Period at a fixed rate per annum equal to 5.643%, and (ii) during the 2029 Notes Floating Rate Period at a floating rate per annum equal to compounded SOFR in accordance with the provisions set forth in the preliminary prospectus supplement plus 2.210%. | | The 2034 Notes will bear interest (i) during the 2034 Notes Fixed Rate Period at a fixed rate per annum equal to 5.853%, and (ii) during the 2034 Notes Floating Rate Period at a floating rate per annum equal to compounded SOFR in accordance with the provisions set forth in the preliminary prospectus supplement plus 2.500%. |
Interest Payment Dates: | | Fixed Rate Period: Semi-annually in arrears on each May 19 and November 19, commencing on November 19, 2023 and ending on May 19, 2028 Floating Rate Period: Quarterly in arrears on August 19, 2028, November 19, 2028, and February 19, 2029; provided that the final interest payment will be made on the 2029 Notes Maturity Date | | Fixed Rate Period: Semi-annually in arrears on each May 19 and November 19, commencing on November 19, 2023 and ending on May 19, 2033 Floating Rate Period: Quarterly in arrears on August 19, 2033, November 19, 2033, and February 19, 2034; provided that the final interest payment will be made on the 2034 Notes Maturity Date |