Prospectus Supplement to Prospectus dated February 24, 2020
$5,000,000,000
$ 500,000,000 1.250% Notes due January 15, 2026
$1,250,000,000 2.000% Notes due May 15, 2030
$1,000,000,000 2.750% Notes due May 15, 2040
$1,250,000,000 2.900% Notes due May 15, 2050
$1,000,000,000 3.125% Notes due May 15, 2060
We are offering $500,000,000 principal amount of 1.250% notes due January 15, 2026, $1,250,000,000 principal amount of 2.000% notes due May 15, 2030, $1,000,000,000 principal amount of 2.750% notes due May 15, 2040, $1,250,000,000 principal amount of 2.900% notes due May 15, 2050 and $1,000,000,000 principal amount of 3.125% notes due May 15, 2060. We refer to the 2026 notes, the 2030 notes, the 2040 notes, the 2050 notes and the 2060 notes collectively as the notes.
Interest on the 2026 notes will be payable semi-annually on January 15 and July 15, beginning on January 15, 2021, at the rate set forth above. Interest on the 2030 notes, the 2040 notes, the 2050 notes and the 2060 notes will be payable semi-annually on May 15 and November 15, beginning on November 15, 2020, in each case at the applicable rates set forth above. At our option, we may redeem any series of notes, in whole or in part, before their maturity date on not less than 10 nor more than 60 days’ notice by mail on the terms described under the caption “Description of the Notes—Optional Redemption.” If a change of control triggering event as described herein occurs with respect to any series of notes, unless we have exercised our option to redeem all notes of such series, we will be required to offer to repurchase such series of notes, in each case at the prices described under the caption “Description of the Notes—Change of Control Offer.”
The notes will be our senior, unsecured obligations and will rank equally in right of payment with all of our other unsecured and unsubordinated indebtedness from time to time outstanding. We do not intend to apply for listing of the notes on any securities exchange or for inclusion of the notes in any automated dealer quotation system.
Investing in the notes involves risks. See “Risk Factors” onpage S-4 of this prospectus supplement.
Neither the Securities and Exchange Commission nor any state securities commission has approved or disapproved of these securities or passed upon the adequacy or accuracy of this prospectus supplement or the accompanying prospectus. Any representation to the contrary is a criminal offense.
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| | Public Offering Price(1) | | | Underwriting Discount | | | Proceeds to Us (before expenses) | |
| | Per Note | | | Total | | | Per Note | | | Total | | | Per Note | | | Total | |
2026 Notes | | | 99.613 | % | | $ | 498,065,000 | | | | 0.350 | % | | $ | 1,750,000 | | | | 99.263 | % | | $ | 496,315,000 | |
2030 Notes | | | 99.157 | % | | $ | 1,239,462,500 | | | | 0.450 | % | | $ | 5,625,000 | | | | 98.707 | % | | $ | 1,233,837,500 | |
2040 Notes | | | 97.084 | % | | $ | 970,840,000 | | | | 0.650 | % | | $ | 6,500,000 | | | | 96.434 | % | | $ | 964,340,000 | |
2050 Notes | | | 97.181 | % | | $ | 1,214,762,500 | | | | 0.750 | % | | $ | 9,375,000 | | | | 96.431 | % | | $ | 1,205,387,500 | |
2060 Notes | | | 97.345 | % | | $ | 973,450,000 | | | | 0.800 | % | | $ | 8,000,000 | | | | 96.545 | % | | $ | 965,450,000 | |
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Combined Total | | | | | | $ | 4,896,580,000 | | | | | | | $ | 31,250,000 | | | | | | | $ | 4,865,330,000 | |
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(1) | Plus accrued interest from May 18, 2020 if settlement occurs after that date. |
The underwriters expect to deliver the notes to investors on or about May 18, 2020 only in book-entry form through the facilities of The Depository Trust Company and its participants, including Euroclear Bank S.A./N.V. and Clearstream Banking,société anonyme.
Joint Book-Running Managers
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Barclays | | BofA Securities | | Deutsche Bank Securities | | Goldman Sachs & Co. LLC |
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Morgan Stanley | | US Bancorp | | Wells Fargo Securities |
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Citigroup | | Credit Suisse | | J.P. Morgan |
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Mizuho Securities | | RBC Capital Markets | | SunTrust Robinson Humphrey |
Senior Co-Managers
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BNY Mellon Capital Markets, LLC | | HSBC | | KeyBanc Capital Markets |
PNC Capital Markets LLC | | Santander | | TD Securities |
Co-Managers
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Academy Securities | | Bancroft Capital | | BMO Capital Markets | | Drexel Hamilton | | Fifth Third Securities |
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Huntington Capital Markets | | Loop Capital Markets | | MUFG | | Regions Securities LLC |
Prospectus Supplement dated May 13, 2020