debt
confidence high
sentiment neutral
materiality 0.50
IBM raises C$2.75B via 4.100% notes due 2030 and 4.750% notes due 2034
INTERNATIONAL BUSINESS MACHINES CORP
- C$2,750,000,000 aggregate principal of debt securities offered via prospectus supplement.
- Two tranches: 4.100% Notes due 2030 and 4.750% Notes due 2034.
- Underwriting agreement dated Aug 10, 2026 with CIBC, RBC Dominion, Scotia Capital, TD Securities.
- Notes incorporated by reference into Form S-3 registration statement effective Jan 29, 2024.