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Share Name | Share Symbol | Market | Type |
---|---|---|---|
HP Inc | NYSE:HPQ | NYSE | Common Stock |
Price Change | % Change | Share Price | High Price | Low Price | Open Price | Shares Traded | Last Trade | |
---|---|---|---|---|---|---|---|---|
0.00 | 0.00% | 27.94 | 110 | 12:21:04 |
Issuer: |
HP Inc.
|
Title of Securities: |
4.000% notes due 2029 (the “2029 Notes”)
|
Anticipated Ratings(1): |
Baa2 (Moody’s)/ BBB (S&P)/ BBB+ (Fitch)
|
Trade Date: |
March 29, 2022
|
Settlement Date |
March 31, 2022 (T+2)
|
Maturity Date |
April 15, 2029
|
Principal Amount: |
$1,000,000,000
|
Interest Rate: |
4.000% per annum
|
Benchmark |
UST 1.875% due February 28, 2029
|
Benchmark Yield |
2.488%
|
Spread to Benchmark |
+155 Basis Points
|
Reoffer Yield |
4.038%
|
Price to Public (Issue Price): |
99.767%
|
Interest Payment Dates: |
Semiannually; April 15 and October 15 of each year, commencing October 15, 2022 (subject to the following business day convention).
|
Method of Calculation: |
30/360
|
Optional Redemption: |
At any time prior to February 15, 2029 (two months prior to maturity), make-whole redemption at Treasury Rate plus 25 basis points. On or after February 15, 2029 (two months prior to
maturity), redemption at par.
|
CUSIP/ISIN Nos.: |
40434L AK1/ US40434LAK17
|
Denominations |
$2,000 X $1,000
|
Joint Book Running Managers: |
BNP Paribas Securities Corp.
|
Co-Managers |
Citigroup Global Markets Inc.
|
(1)
|
A securities rating is not a recommendation to buy, sell or hold securities and may be subject to revision or withdrawal at any time.
|
Issuer: |
HP Inc.
|
Title of Securities: |
4.200% notes due 2032 (the “2032 Notes”)
|
Anticipated Ratings(1) |
Baa2 (Moody’s)/ BBB (S&P)/ BBB+ (Fitch)
|
Trade Date: |
March 29, 2022
|
Settlement Date: |
March 31, 2022 (T+2)
|
Maturity Date |
April 15, 2032
|
Principal Amount: |
$1,000,000,000
|
Interest Rate: |
4.200% per annum
|
Benchmark |
UST 1.875% due February 15, 2032
|
Benchmark Yield |
2.404%
|
Spread to Benchmark |
+180 Basis Points
|
Reoffer Yield |
4.204%
|
Price to Public (Issue Price): |
99.966%
|
Interest Payment Dates: |
Semiannually; April 15 and October 15 of each year, commencing October 15, 2022 (subject to the following business day convention).
|
Method of Calculation: |
30/360
|
Optional Redemption: |
At any time prior to January 15, 2032 (three months prior to maturity), make-whole redemption at Treasury Rate plus 30 basis points. On or after January 15, 2032 (three months prior to
maturity), redemption at par.
|
CUSIP/ISIN Nos: |
40434L AL9/ US40434LAL99
|
Denominations |
$2,000 X $1,000
|
Joint Book Running Managers: |
BNP Paribas Securities Corp.
|
Co-Managers |
Citigroup Global Markets Inc.
|
(1)
|
A securities rating is not a recommendation to buy, sell or hold securities and may be subject to revision or withdrawal at any time.
|
1 Year HP Chart |
1 Month HP Chart |
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