格拉德斯通资本已提交定价条款书,计划发行至多6000万美元、于2029年到期的7.000%票据。此次发行旨在为公司的投资活动提供资金支持。根据条款书,该批票据的年利率定为7.000%,预计将在2029年到期偿付。此举反映了公司利用当前市场条件进行融资的策略。具体的发行规模、定价和最终条款将根据市场反应和投资者需求最终确定。
格拉德斯通资本已提交定价条款书,计划发行至多6000万美元、于2029年到期的7.000%票据。此次发行旨在为公司的投资活动提供资金支持。根据条款书,该批票据的年利率定为7.000%,预计将在2029年到期偿付。此举反映了公司利用当前市场条件进行融资的策略。具体的发行规模、定价和最终条款将根据市场反应和投资者需求最终确定。
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