debt
confidence high
sentiment neutral
materiality 0.80
Pfizer completes $6.0 billion offering of notes due 2027-2065
PFIZER INC
- Issued $500M Floating Rate Notes due 2027, $1B 3.875% Notes due 2027, $1B 4.200% Notes due 2030
- Issued $1.25B 4.500% Notes due 2032, $1.25B 4.875% Notes due 2035, $500M 5.600% Notes due 2055
- Issued $500M 5.700% Notes due 2065 for total aggregate principal of $6.0 billion
- Underwriters include Citigroup, Deutsche Bank, J.P. Morgan, Mizuho Securities