debt
confidence high
sentiment neutral
materiality 0.55
Kinder Morgan prices $1.85B dual-tranche note offering (5.150% due 2030, 5.850% due 2035)
KINDER MORGAN, INC.
- $1.1B of 5.150% Senior Notes due 2030 and $750M of 5.850% Senior Notes due 2035 offered.
- Proceeds to repay commercial paper borrowings and refinance upcoming debt maturities.
- Interest payable semi-annually starting Dec 1, 2025; notes accrue from May 1, 2025.
- Underwriters include Barclays, Citigroup, Credit Agricole, J.P. Morgan.
- KMI may redeem notes at any time at applicable redemption prices.