debt
confidence high
sentiment neutral
materiality 0.55
AbbVie closes $4.0B senior notes offering across four maturities
AbbVie Inc.
- Closed $4.0B debt offering: $1.25B 4.650% notes due 2028, $1B 4.875% notes due 2030, $1B 5.200% notes due 2035, $750M 5.600% notes due 2055.
- Notes are unsecured, unsubordinated obligations ranking equally with existing and future unsecured debt.
- AbbVie may redeem notes at par after certain dates: 2028 notes after Feb 15, 2028; 2030 after Feb 15, 2030; 2035 after Dec 15, 2034; 2055 after Sep 15, 2054.
- Proceeds not specified; offering registered under Form S-3ASR filed Feb 14, 2025, prospectus supplement dated Feb 18, 2025.