debt
confidence high
sentiment positive
materiality 0.60
OneMain Finance issues $750M 6.125% senior notes due 2030 to refinance 9% notes
ONEMAIN FINANCE CORP
- $750M aggregate principal of 6.125% Senior Notes due 2030; closing expected Aug 12, 2025.
- Proceeds to redeem all outstanding 9.000% Senior Notes due 2029; excess for general corporate purposes.
- Parent OneMain Holdings, Inc. guarantees the notes; Wells Fargo Securities leads underwriting.
- Underwriting agreement includes customary representations, warranties, and indemnification.
item 1.01item 9.01