肯纳金属湖北体彩网(Kennametal Inc.)今天宣布对2031年3月1日到期的2.80%优先票据本金总额为3亿美元的公开发行定价。“Notes”) under the Company’的货架注册声明。
本湖北体彩网预计将在2021年2月23日左右(约合常规交易日)成交时获得净发行收益。肯纳金属湖北体彩网计划将此次发行的净收益加上手头的现金,用于偿还或赎回其于2022年2月到期的3.875%票据,并用于一般湖北体彩网用途。任何此类赎回将根据适用契约的条款进行,包括提供所需的赎回通知。在进行赎回之前,湖北体彩网可以将发行所得款项净额用于减少任何未偿债务,或将所得款项净额投资于短期投资中。
湖北体彩网已向美国证券交易委员会提交了一份注册声明(包括招股说明书和初步招股说明书补充资料),以供其与本函件相关的发售。投资前,投资者应阅读招股说明书和初步招股说明书补编以及湖北体彩网已向美国证券交易委员会(SEC)备案的其他文件,以供参考,将其纳入招股说明书和初步招股说明书补编中,以获取有关湖北体彩网和此次发行的更完整信息。投资者可以通过访问SEC网站上的EDGAR免费获得这些文件。 www.sec.gov。另外,湖北体彩网,参与发行的承销商或任何经销商将应要求通过向美国银行证券湖北体彩网发送电子邮件,向投资者发送招股说明书和初步招股说明书补充资料。 [email protected] 或致电1-866-803-9204致电摩根大通证券有限责任湖北体彩网,或邮寄至摩根大通证券有限责任湖北体彩网,邮编为Broadridge Financial Solutions,收件人:招股部,纽约州艾奇伍德长岛大街1155号,邮政编码11717。
本新闻稿中的某些陈述可能具有前瞻性,或者“前瞻性陈述”根据1933年《证券法》第27A条和1934年《证券交易法》第21E条的含义。前瞻性陈述是与历史事实或当前事实完全不相关的陈述。例如,关于肯纳金属的声明’s outlook for earnings, sales volumes, cash flow, capital expenditures and effective tax rate for fiscal year 2021 and our expectations regarding future growth and financial performance are 前瞻性陈述. Any 前瞻性陈述 are based on current knowledge, expectations and estimates that involve inherent risks and uncertainties. Should one or more of these risks or uncertainties materialize, or should the assumptions underlying the 前瞻性陈述 prove incorrect, our actual results could vary materially from our current expectations. There are a number of factors that could cause our actual results to differ from those indicated in the 前瞻性陈述. They include: the duration of the COVID-19 pandemic and its impacts on our business operations, financial results and financial position and on the industries in which we operate and the global economy generally; other downturns in the business cycle or the economy; our ability to achieve all anticipated benefits of restructuring, simplification and modernization initiatives; risks related to our foreign operations and international markets, such as currency exchange rates, different regulatory environments, trade barriers, exchange controls, and social and political instability; changes in the regulatory environment in which we operate, including environmental, health and safety regulations; potential for future goodwill and other intangible asset impairment charges; our ability to protect and defend our intellectual property; continuity of information technology infrastructure; competition; our ability to retain our management and employees; demands on management resources; availability and cost of the raw materials we use to manufacture our products; product liability claims; integrating acquisitions and achieving the expected savings and synergies; global or regional catastrophic events; demand for and market acceptance of our products; business divestitures; labor relations; and implementation of environmental remediation matters. Many of these risks and other risks are more fully described in our latest annual report on Form 10-K and our other periodic filings with the Securities and Exchange Commission. We can give no assurance that any goal or plan set forth in 前瞻性陈述 can be achieved and readers are cautioned not to place undue reliance on such statements, which speak only as of the date made. We undertake no obligation to release publicly any revisions to 前瞻性陈述 as a result of future events or developments.
关于肯纳金属 Kennametal Inc.作为工业技术领导者已有80多年的历史,它通过材料科学,工具和耐磨解决方案为客户提供生产力。航空航天,土方工程,能源,通用工程和运输领域的客户求助于Kennametal,以帮助他们精确高效地进行制造。每天大约有9000名员工正在帮助60多个国家/地区的客户保持竞争力。肯纳金属湖北体彩网(Kennametal)在2020财年创造了近19亿美元的收入。
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