Sempra closed an $800M offering of 5.250% notes due 3/15/2036 on Mar 13, 2026; proceeds ≈ $793.4M (after…
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Sempra closed an $800M offering of 5.250% notes due 3/15/2036 on Mar 13, 2026; proceeds ≈ $793.4M (after underwriting discount, before ~$2.0M expenses). $SRE 💵📈 #DebtOffering #CapitalMarkets
Underwriting agreement (3/10/2026) led by BBVA, Citi, J.P. Morgan, Morgan Stanley & PNC; notes sold at 99.823% of par. Interest 5.25% accrues from 3/13/2026; semi‑annual payments Mar 15 & Sep 15 (first 9/15/2026). Redeemable at company option. $SRE 🏦🗓️ #FixedIncome #Sempra
Notes issued under an indenture dated 2/23/2000 with U.S. Bank Trust Co., N.A. as trustee; mature 3/15/2036. Transaction adds ~ $793.4M of long‑term funding to Sempra’s balance sheet. $SRE 🔒📆 #Debt #Energy