CUSIP: 74456QCF1 Trade Date: March 2, 2021 Original Issue Date/Settlement Date: March 4, 2021 Principal Amount: $450,000,000 Price to Public: 99.780% of Principal Amount, plus accrued interest from March 4, 2021 if settlement occurs after that date Purchase Price: 99.280% of Principal Amount Net Proceeds to Company: $446,760,000 Interest Rate: 0.950% per annum Initial Interest Accrual Date: March 4, 2021 Interest Payment Dates: March 15 and September 15, commencing September 15, 2021 Regular Record Dates: March 1 and September 1 Maturity Date: March 15, 2026 These Notes are DTC Eligible and will be issued in book-entry form. | | Mode of Distribution: [X] Underwritten [ ] Agented [X] Academy Securities, Inc. ($9,000,000) [X] AmeriVet Securities, Inc. ($9,000,000) [ ] Barclays Capital Inc. [X] BNP Paribas Securities Corp. ($54,000,000) [X] BNY Mellon Capital Markets, LLC ($24,750,000) [ ] BofA Securities, Inc. [X] CastleOak Securities, L.P. ($18,000,000) [ ] CIBC World Markets Corp. [X] Citigroup Global Markets Inc. ($54,000,000) [X] Credit Suisse Securities (USA) LLC ($64,125,000) [ ] Goldman Sachs & Co. LLC [ ] J.P. Morgan Securities LLC [ ] Loop Capital Markets LLC [X] Mizuho Securities USA LLC ($64,125,000) [ ] Morgan Stanley & Co. LLC [ ] MUFG Securities Americas Inc. [X] PNC Capital Markets LLC ($24,750,000) [X] RBC Capital Markets, LLC ($64,125,000) [X] Scotia Capital (USA) Inc. ($64,125,000) [ ] TD Securities (USA) LLC [ ] U.S. Bancorp Investments, Inc. [ ] Wells Fargo Securities, LLC |