10/28/2025 | Press release | Distributed by Public on 10/28/2025 14:10
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Public
Offering Price |
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Underwriting
Discount |
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Proceeds to Us
(before expenses) |
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Per Note
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Total
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Per Note
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Total
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Per Note
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Total
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Floating Rate Notes due 2028
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| | | | 100.000% | | | | | $ | 300,000,000 | | | | | | 0.200% | | | | | $ | 600,000 | | | | | | 99.800% | | | | | $ | 299,400,000 | | |
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3.875% Notes due 2028
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| | | | 99.855% | | | | | $ | 748,912,500 | | | | | | 0.200% | | | | | $ | 1,500,000 | | | | | | 99.655% | | | | | $ | 747,412,500 | | |
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4.000% Notes due 2030
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| | | | 99.155% | | | | | $ | 743,662,500 | | | | | | 0.300% | | | | | $ | 2,250,000 | | | | | | 98.855% | | | | | $ | 741,412,500 | | |
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4.250% Notes due 2032
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| | | | 98.743% | | | | | $ | 839,315,500 | | | | | | 0.350% | | | | | $ | 2,975,000 | | | | | | 98.393% | | | | | $ | 836,340,500 | | |
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4.625% Notes due 2035
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| | | | 98.850% | | | | | $ | 840,225,000 | | | | | | 0.450% | | | | | $ | 3,825,000 | | | | | | 98.400% | | | | | $ | 836,400,000 | | |
| | BBVA | | |
BofA Securities
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Citigroup
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Deutsche Bank Securities
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Wells Fargo Securities
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| | Goldman Sachs & Co. LLC | | |
HSBC
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UBS Investment Bank
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ABOUT THIS PROSPECTUS SUPPLEMENT
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| | | | S-1 | | |
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FORWARD-LOOKING AND CAUTIONARY STATEMENTS
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| | | | S-2 | | |
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THE COMPANY
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| | | | S-3 | | |
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SUMMARY OF THE OFFERING
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| | | | S-5 | | |
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RISK FACTORS
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| | | | S-8 | | |
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USE OF PROCEEDS
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| | | | S-12 | | |
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DESCRIPTION OF NOTES
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| | | | S-13 | | |
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CERTAIN U.S. FEDERAL INCOME TAX CONSIDERATIONS
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| | | | S-28 | | |
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UNDERWRITING
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| | | | S-33 | | |
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OFFERING RESTRICTIONS
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| | | | S-36 | | |
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DOCUMENTS INCORPORATED BY REFERENCE
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| | | | S-39 | | |
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LEGAL MATTERS
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| | | | S-40 | | |
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EXPERTS
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| | | | S-40 | | |
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ABOUT THIS PROSPECTUS
|
| | | | ii | | |
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WHERE YOU CAN FIND MORE INFORMATION
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| | | | iii | | |
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DOCUMENTS INCORPORATED BY REFERENCE
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| | | | iv | | |
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FORWARD-LOOKING AND CAUTIONARY STATEMENTS
|
| | | | v | | |
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THE COMPANY
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| | | | 1 | | |
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RISK FACTORS
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| | | | 3 | | |
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USE OF PROCEEDS
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| | | | 4 | | |
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DESCRIPTION OF DEBT SECURITIES
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| | | | 5 | | |
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DESCRIPTION OF DEBT WARRANTS
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| | | | 17 | | |
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PLAN OF DISTRIBUTION
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| | | | 19 | | |
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LEGAL MATTERS
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| | | | 19 | | |
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EXPERTS
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| | | | 19 | | |
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Underwriter
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Principal
Amount of Floating Rate Notes due 2028 |
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Principal
Amount of 3.875% Notes due 2028 |
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Principal
Amount of 4.000% Notes due 2030 |
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Principal
Amount of 4.250% Notes due 2032 |
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Principal
Amount of 4.625% Notes due 2035 |
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BBVA Securities Inc.
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| | | $ | 37,320,000 | | | | | $ | 93,300,000 | | | | | $ | 93,300,000 | | | | | $ | 105,740,000 | | | | | $ | 105,740,000 | | |
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BofA Securities, Inc.
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| | | $ | 37,320,000 | | | | | $ | 93,300,000 | | | | | $ | 93,300,000 | | | | | $ | 105,740,000 | | | | | $ | 105,740,000 | | |
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Citigroup Global Markets Inc.
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| | | $ | 37,320,000 | | | | | $ | 93,300,000 | | | | | $ | 93,300,000 | | | | | $ | 105,740,000 | | | | | $ | 105,740,000 | | |
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Deutsche Bank Securities Inc.
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| | | $ | 37,320,000 | | | | | $ | 93,300,000 | | | | | $ | 93,300,000 | | | | | $ | 105,740,000 | | | | | $ | 105,740,000 | | |
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Wells Fargo Securities, LLC
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| | | $ | 37,320,000 | | | | | $ | 93,300,000 | | | | | $ | 93,300,000 | | | | | $ | 105,740,000 | | | | | $ | 105,740,000 | | |
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Goldman Sachs & Co. LLC
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| | | $ | 27,000,000 | | | | | $ | 67,500,000 | | | | | $ | 67,500,000 | | | | | $ | 76,500,000 | | | | | $ | 76,500,000 | | |
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HSBC Securities (USA) Inc.
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| | | $ | 27,000,000 | | | | | $ | 67,500,000 | | | | | $ | 67,500,000 | | | | | $ | 76,500,000 | | | | | $ | 76,500,000 | | |
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UBS Securities LLC
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| | | $ | 27,000,000 | | | | | $ | 67,500,000 | | | | | $ | 67,500,000 | | | | | $ | 76,500,000 | | | | | $ | 76,500,000 | | |
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Bank of China (Europe) S.A.
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| | | $ | 10,800,000 | | | | | $ | 27,000,000 | | | | | $ | 27,000,000 | | | | | $ | 30,600,000 | | | | | $ | 30,600,000 | | |
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DBS Bank Ltd.
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| | | $ | 10,800,000 | | | | | $ | 27,000,000 | | | | | $ | 27,000,000 | | | | | $ | 30,600,000 | | | | | $ | 30,600,000 | | |
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Morgan Stanley & Co. LLC
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| | | $ | 10,800,000 | | | | | $ | 27,000,000 | | | | | $ | 27,000,000 | | | | | $ | 30,600,000 | | | | | $ | 30,600,000 | | |
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Total
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| | | $ | 300,000,000 | | | | | $ | 750,000,000 | | | | | $ | 750,000,000 | | | | | $ | 850,000,000 | | | | | $ | 850,000,000 | | |
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Paid by PMI
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Per Floating Rate Note due 2028
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| | | | 0.200% | | |
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Per 3.875% Note due 2028
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| | | | 0.200% | | |
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Per 4.000% Note due 2030
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| | | | 0.300% | | |
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Per 4.250% Note due 2032
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| | | | 0.350% | | |
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Per 4.625% Note due 2035
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| | | | 0.450% | | |
| |
ABOUT THIS PROSPECTUS
|
| | | | ii | | |
| |
WHERE YOU CAN FIND MORE INFORMATION
|
| | | | iii | | |
| |
DOCUMENTS INCORPORATED BY REFERENCE
|
| | | | iv | | |
| |
FORWARD-LOOKING AND CAUTIONARY STATEMENTS
|
| | | | v | | |
| |
THE COMPANY
|
| | | | 1 | | |
| |
RISK FACTORS
|
| | | | 3 | | |
| |
USE OF PROCEEDS
|
| | | | 4 | | |
| |
DESCRIPTION OF DEBT SECURITIES
|
| | | | 5 | | |
| |
DESCRIPTION OF DEBT WARRANTS
|
| | | | 17 | | |
| |
PLAN OF DISTRIBUTION
|
| | | | 19 | | |
| |
LEGAL MATTERS
|
| | | | 19 | | |
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EXPERTS
|
| | | | 19 | | |